February 2020- Boca Raton, FL According to publicly available records Michael B. Ralby (CRD#1301072), a stockbroker who formerly was registered with Morgan Stanley Smith Barney, disclose a regulatory event, 3…
read moreSeptember 2018- New York Gregory Don Patterson , a stockbroker who is currently registered with Four Points Capital Partners, a Texas LLC, (Four Points) discloses a prior customer dispute, a currently pending regulatory…
read moreSeptember 2018 – Ft. Worth, Texas According to publicly available records William E. Riley, Jr. , a currently unregistered stockbroker, who was last registered with Silver Oak Securities , disclose a pending customer…
read moreJanuary 2020 – Miami, FL According to publicly available records Thomas Alan Meier (CRD#1146044) , a former stockbroker who was last registered with Morgan Stanley, disclose a Regulatory Event and 14 prior customer disputes.…
read moreSeptember 2018 – Brookfield, WI According to publicly available records Joel Blumenschein (CRD#1372334) , a stockbroker who formerly was registered with Freedom Investors Corp. , disclose a Regulatory Event and a pending customer dispute…
read moreSeptember 2018- Miami, FL According to publicly available records Lorenzo Esteva (CRD#2170595) , a former stockbroker previously registered with Merrill Lynch , disclose a regulatory event, six prior and one currently pending customer disputes, and a termination…
read moreSeptember 2018- Arden Hills, MN The FINRA records of Dean Grossnickle, a stockbroker who formerly was employed by Gradient Securities disclose the settlement of a customer dispute. The Financial Industry Regulatory Authority (FINRA) is the…
read moreMay 2019- Lubbock, Texas The FINRA records of William (“Bill”) Hamilton Lowell , a financial advisor who is currently registered with Crescent Securities Group and Lowell & Company , disclose two prior regulatory issues and…
read moreUpdated January 2019- Fort Wayne, Indiana The FINRA records of Alan Harold New , a former stock broker who is not currently registered and who was last employed by NYLife Securities , disclose a pending civil matter…
read moreSeptember 2018-Tampa, FL The FINRA records of Brian John Hussey, Jr. , a stockbroker who was formerly employed by Ameriprise Financial Services disclose a recent regulatory event resulting in a suspension and a…
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