November 2019-Dallas, TX Larry Martin Boggs,  a former stockbroker who worked for Wedbush Securities and Ameriprise Financial Services in Dallas was permanently barred from the securities industry by FINRA in…
read moreFebruary 2018-Shreveport, LA The FINRA records of  Thomas W. O’Brien,  a  stockbroker who is currently employed by Raymond James & Assoc. disclose 2 pending customer disputes and 2 prior final customer disputes.…
read moreJANUARY 2018-Houston, TX According to publicly available records Charles Albert Dixon Jr. ,  a former stockbroker with Morgan Stanley was barred by FINRA from acting as a broker or otherwise associating…
read moreJULY 2018 UPDATE-Stephenville, TX According to publicly available records Tom “Gil” Parks, Jr. , (CRD#1558909) ,  a  stockbroker who is not currently registered and who last was employed by Ameriprise Financial Services  discloses 6…
read moreJanuary 2018-Las Cruces, NM The FINRA records of  Jeffrey Randolph Wilson ,  a  stockbroker who is currently  registered with Wells Fargo Clearing Services disclose a currently pending customer dispute over energy investments , a…
read moreMarch 2019-Stuart, NE The FINRA records of  Scott V. Kaup ,  a  stockbroker who was formerly employed by  VSR Financial Services  disclose 2 pending customer disputes and a prior customer dispute that has…
read moreUPDATE FEBRUARY 2018-The SEC barred Daniel T. Fischer indefinitely from association with a broker, dealer, investment adviser, municipal securities dealer, municipal advisor, transfer agent, or NRSRO. ORIGINAL POST-January 2018-Melville, New…
read moreJanuary 2018-Houston, Texas Donna Boyd (formerly Donna Chen)Â , a former stockbroker who last worked for Sunbelt Securities was named in a complaint filed by the Securities and Exchange Commission in…
read moreJanuary 2018-Houston, Texas James Tao, a former stockbroker who last worked for Sunbelt Securities was named in a complaint filed by the Securities and Exchange Commission in December 2017, which…
read moreDecember 2017-Boca Raton, FL According to a complaint filed in MIami, FL, by the Securities and Exchange Commission (SEC), Robert H. Shapiro and a group of unregistered investment companies called…
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