June 2026 – Clear Lake, Iowa The FINRA records of  Thomas W. Bodensteiner ,  a  stockbroker who was last employed by Purshe Kaplan Sterling discloses a customer dispute . The Financial Industry…
read moreRex Securities Law Investment Fraud Attorney Investigates Anthony Ryan Morris, Broker with Worth Financial Group Last Updated: February 2026 — Dallas & El Paso, TX Here’s what you need to…
read moreFebruary 2026- Boca Raton, FL We are investigating Ameriprise Financial Services financial advisor Norman (Norm) Robbins. According to publicly available records, Norm Robbins discloses  a prior regulatory matter and 6 prior customer…
read moreRicky Alan Mantei Investigation Updated January 2026 Centaurus Customers Have Sued for Damages-Sold Variable Interest Rate Structured ProductsLexington, SC The FINRA records of Ricky Alan Mantei, currently employed by Centaurus Financial and…
read moreJeffrey G. Meyers Investigation July 2025- Overland Park, KS According to publicly available records, Osaic Wealth financial advisor Jeffrey G. Meyers,  discloses a pending customer dispute and 6 prior customer disputes.…
read moreVictor A. Rigoni III Investigation June 2023-Lake Forest, IL The FINRA records of Victor A. Rigoni III ,  a broker previously with Summit Brokerage Services, disclose a FINRA suspension, 5 prior customer…
read moreJuly 2021-San Jose, CA According to publicly available records. Â Marco “Moe” Azizi (CRD#2154719), a broker employed with Centaurus Financial, Inc., Â discloses 1 pending and 4 prior customer disputes. The Financial…
read moreJanuary 2020 – San Jose, CA The FINRA records of Marco Bartolo Azizi, a stockbroker who is currently employed by Centaurus Financial, Inc., disclose 2 pending customer disputes. The Financial Industry Regulatory…
read moreJanuary 2020- Greenwood Village, CO The FINRA records of Robert Edward Burns, a stockbroker employed by Cetera Advisor Networks , disclose a pending customer dispute and a prior customer dispute. The Financial Industry…
read moreSeptember 2019 Cetera Advisors, a registered investment advisor and broker-dealer based in Denver, Colorado, was charged by the Securities and Exchange Commission (SEC) with breaching its fiduciary duty and defrauding…
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