Robert MacNamee- Former Aegis Capital Broker- Discloses 2 Pending Customer Disputes -Red Bank, NJ

Robert MacNamee- Former Aegis Capital Broker- Discloses 2 Pending Customer Disputes -Red Bank, NJ 150 150 ER

Robert MacNamee Investigaton April 2022- Red Bank, NJ According to publicly available records,  Robert P. MacNamee,  a former Aegis Capital broker discloses  customer disputes. The Financial Industry Regulatory Authority (FINRA) is the…

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David Bibo – Western International Securities Broker- Discloses Customer Disputes Involving REITs – Pasadena, CA

David Bibo – Western International Securities Broker- Discloses Customer Disputes Involving REITs – Pasadena, CA 150 150 ER

David Bibo Investigation April 2022- Pasadena, CA According to publicly available records David O. Bibo,  a broker with Western International Securities  broker discloses 2 prior and 2 pending customer disputes and…

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Joffre Salazar- Former LPL Financial Broker- Discloses a Regulatory Event Involving Forgery and a Termination from Employment-Staten Island, NY

Joffre Salazar- Former LPL Financial Broker- Discloses a Regulatory Event Involving Forgery and a Termination from Employment-Staten Island, NY 150 150 ER

Joffre Salazar Investigaton April 2022- Staten Island, NY According to publicly available records,  Joffre Salazar,  a currently unregistered  financial advisor who previously was employed by LPL  Financial discloses a regulatory…

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Russell Green – Cabot Lodge Securities Broker- Discloses 250K Settlement – Syosett, NY

Russell Green – Cabot Lodge Securities Broker- Discloses 250K Settlement – Syosett, NY 150 150 ER

Russell Green Investigation April 2022- Syosett, NY According to publicly available records Russell P. Green,  a broker with Cabot Lodge Securities discloses 5 prior customer disputes. The Financial Industry Regulatory Authority…

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Andrew “Andy” Grant- Laidlaw & Company Broker- Discloses Regulatory Event- Melville, NY

Andrew “Andy” Grant- Laidlaw & Company Broker- Discloses Regulatory Event- Melville, NY 150 150 ER

Andrew “Andy” Grant Investigaton November 2021- Melville, NY According to publicly available records,  Andrew “Andy” Justin Grant,  a broker with Laidlaw & Company discloses a regulatory event. The Financial Industry Regulatory…

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James A. Seijas- Former Wells Fargo Broker-Barred From Industry by Securities Regulator-Short Hills, NJ

James A. Seijas- Former Wells Fargo Broker-Barred From Industry by Securities Regulator-Short Hills, NJ 150 150 ER

James A. Seijas Investigation April 2022- Bloomington, MN  The FINRA records of  James A. Seijas ,  a  former financial advisor who was last employed by  Wells Fargo Clearing Services, disclose a…

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Michael J. May- Joseph Stone Capital Broker- Discloses Regulatory Event and Settled Customer Dispute- Mineola, NY

Michael J. May- Joseph Stone Capital Broker- Discloses Regulatory Event and Settled Customer Dispute- Mineola, NY 150 150 ER

Michael J. May Investigation April 2022- Mineola, NY According to publicly available records,  Michael James May,  a broker who formerly worked for Joseph Stone Capital discloses a regulatory event and a…

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Steven Musielski – Former Cambria Capital Broker-Barred From Industry by Securities Regulator-Anaheim, CA

Steven Musielski – Former Cambria Capital Broker-Barred From Industry by Securities Regulator-Anaheim, CA 150 150 ER

Steven Musielski Investigation April 2022- Anaheim, CA The FINRA records of  Steven D. Musielski ,  a  former financial advisor who was last employed by  Cambria Capital, disclose a regulatory event, a…

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Peter J. Klein- Hightower Securities Broker- Discloses $1.7M in Pending Customer Disputes -Melville, NY

Peter J. Klein- Hightower Securities Broker- Discloses $1.7M in Pending Customer Disputes -Melville, NY 150 150 ER

Peter J. Klein Investigation April 2022- Melville, NY According to publicly available records,  Peter Klein, a broker with Hightower Securities in Melville, NY,  discloses 3 pending customer complaints. The Financial Industry Regulatory…

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Jeffrey Kiesnoski -Concorde Investment Services Broker-Discloses $1.8M+ in Customer Suits- Livonia, MI

Jeffrey Kiesnoski -Concorde Investment Services Broker-Discloses $1.8M+ in Customer Suits- Livonia, MI 150 150 ER

Jeffrey Kiesnoski Investigation April 2022- Livonia, MI The FINRA records of Jeffrey A. Kiesnoski,  a Concorde Investment Services broker,  disclose  two prior customer disputes and two pending customer disputes. The Financial Industry…

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