January 2017-Columbia, South Carolina The FINRA records of Larry A. Stohs, a former stockbroker with Edward Jones disclose a termination from employment and two prior customer disputes. The Financial Industry Regulatory Authority (FINRA) is the…
read moreDecember 2016-Denver, Colorado Brokerage firm Mid Atlantic Capital was ordered to pay a married couple $922,000 by a FINRA arbitration panel for damages they suffered to their brokerage account as…
read moreDecember 2016 Wells Fargo was censured and fined $1,000,000 by the Financial Industry Regulatory Authority over its lack of supervision related to the preparation and dissemination of consolidated reports showing…
read moreDecember 2016-Davie, FL The FINRA records of Mark B. Beloyan, a stockbroker with Tradespot Markets, Inc. , disclose 3 prior regulatory events that are final and two financial disclosures. The Financial Industry Regulatory Authority…
read moreSeptember 2016-Frisco, Texas Tye Williams, a stockbroker who formerly worked for NEXT Financial Group was barred by the Financial Industry Regulatory Authority (FINRA) from acting as a broker or otherwise…
read moreNovember 2016-Houston, Texas The Financial Industry Regulatory Authority (FINRA) fined Valic Financial Advisors (VFA)$1.75 million for conflicts of interest related to the way it compensates brokers selling annuities. FINRA found…
read moreUPDATE February 2017– Lizabeth Beth Ty, also known as Lizabeth Gotuaco Ty discloses that another customer of Park Avenue Securities has filed a FINRA arbitration (case #17-429) alleging damages of…
read moreNovember 2016-Watertown, New York The FINRA records of Stanley C. Niekras, a stockbroker who was formerly employed by Purshe Kaplan Sterling Investments disclose 7 prior customer disputes that have been resolved and a currently pending regulatory…
read moreNovember 2016-Palm Beach, Florida The FINRA records of Anthony J. Mazzo, a stockbroker who is currently employed by BB&T Securities disclose 4 prior customer disputes that have been resolved, a currently pending customer dispute and…
read moreNovember 2016- Dallas, Texas The FINRA records of Jesse B. Shelmire, IV, a stockbroker who is currently employed by Stonegate Capital Markets, Inc. disclose 2 prior regulatory events that are final, a pending investigation and…
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