June 2016—-Beaumont, Texas According to FINRA records,  Terry W. Chilton ,   a stockbroker who formerly was employed by IMS Securities.   discloses  a pending regulatory investigation and a pending customer dispute. In June 2015, a FINRA…
read moreBoca Raton, Florida According to FINRA records, Matthew J. Ronan ,  a stock broker who works for ViewTrade Securities  discloses  a customer dispute that has been finalized and a pending regulatory investigation. The Financial…
read moreBoca Raton, Florida According to FINRA records, Alan R. Pacella ,  a stock broker who works for ViewTrade Securities  discloses a regulatory matter that has been finalized , a customer dispute that has been finalized…
read moreMay 2019 UPDATE- Dion Padilla/ AT&T Retirement Account investigation. See this for details.  Original Post-May 2016 San Antonio, Texas According to FINRA records, Dion R. Padilla ,  a stock broker who has…
read moreOdessa, Texas According to FINRA records, Noe Garcia, Sr. ,  a former investment company products and variable contracts representative for State Farm VP Management  from 5/2007-11/2015 discloses that he was sanctioned by FINRA for failing to amend…
read moreLittle Rock, Arkansas According to FINRA records, Danny M. Thomas ,  a broker who worked for State Farm VP Management  from 8/2003-9/2015 discloses that he was permanently barred from the securities industry in May 2016. The…
read moreHurst, Texas- April 2016 David P. Newman who formerly was a stockbroker with First Western Securities (4/2008-1/2016) in Hurst, Texas,  entered into a Letter of Acceptance, Waiver and Consent (AWC) with the…
read moreNovember 2019-New York According to FINRA records, Kevin Richard Graetz , a former stock broker who was last registered  with Paulson Investment Company discloses that he was barred from the securities…
read moreApril 2016-Â Orangeburg, NY The Financial Industry Regulatory Authority (FINRA)Â is the agency that licenses and regulates stockbrokers and brokerage firms. FINRA requires brokers and brokerage firms to report customer complaints and…
read moreApril 2016-Trumbull, CT The Financial Industry Regulatory Authority (FINRA)Â is the agency that licenses and regulates stockbrokers and brokerage firms. FINRA requires brokers and brokerage firms to report customer complaints and…
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