Melissa Strouse of First Financial Equity Corporation Sanctioned by FINRA for Inadequate Supervisory Procedures

Melissa Strouse of First Financial Equity Corporation Sanctioned by FINRA for Inadequate Supervisory Procedures 150 150 Robert Rex, Esq.

UPDATE March 2017–Melissa A. Strouse, CCO of First Financial Equity Corp., has consented, without admitting or denying the allegations made by FINRA, to the entry of certain findings and violations…

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Rushton L. Ardrey-Former Newport Coast Securities Broker-Discloses Customer Disputes

Rushton L. Ardrey-Former Newport Coast Securities Broker-Discloses Customer Disputes 150 150 Robert Rex, Esq.

July 2016-Boston, MA The FINRA records of Rushton L. Ardrey, III  , a former stock broker employed by  Newport Coast Securities  , disclose 3 prior final regulatory events, a prior customer dispute, 3 currently pending customer disputes and…

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Stuart Horowitz-Former Securities America Broker-Discloses 37 Customer Disputes

Stuart Horowitz-Former Securities America Broker-Discloses 37 Customer Disputes 150 150 Robert Rex, Esq.

July 2016-Coral Springs, Florida The FINRA records of Stuart Horowitz  , a former stock broker employed by  Securities America  , disclose a prior final regulatory event, 33 prior customer disputes, 4 currently pending customer disputes and a…

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Janet Ross, CCO of Accelerated Capital Group, Named in 3 Customer Arbitrations

Janet Ross, CCO of Accelerated Capital Group, Named in 3 Customer Arbitrations 150 150 Robert Rex, Esq.

July 2016- The FINRA records of Janet Ross  , Chief Compliance Officer of Accelerated Capital Group  , disclose 3  pending customer disputes. The Financial Industry Regulatory Authority (FINRA) is the agency that licenses and regulates stockbrokers and brokerage firms.…

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Pamela Posey-Former Securities America Broker-Discloses Bankruptcy Filing

Pamela Posey-Former Securities America Broker-Discloses Bankruptcy Filing 150 150 Robert Rex, Esq.

July 2016- Boynton Beach, Florida The FINRA records of Pamela Posey  , a stock broker who formerly worked for  Securities America, disclose  a pending financial event and  3 outstanding judgements/liens The Financial Industry Regulatory Authority (FINRA) is the…

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Ray G. Reese-Money Capital Concepts Broker-Discloses Customer Settlement Over Oil & Gas Investment-Farmington, MO

Ray G. Reese-Money Capital Concepts Broker-Discloses Customer Settlement Over Oil & Gas Investment-Farmington, MO 150 150 Robert Rex, Esq.

July 2020- Farmington, MO The FINRA records of Ray G. Reese  , a stock broker currently employed by Money Concepts Capital Corp , disclose  2 pending and  3 prior final customer disputes. The Financial Industry Regulatory Authority…

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Marcus Schrenker-Fraudster Who Faked Death-Featured in Financial Fraud Documentary

Marcus Schrenker-Fraudster Who Faked Death-Featured in Financial Fraud Documentary 150 150 Robert Rex, Esq.

Indianapolis The Times, www.NWI.com reports that Marcus Schrenker, a native of Merrillville who faked his own death in 2009 in an attempt to avoid state and federal  fraud investigations is…

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Glen Rauch-Former Avenir Financial Broker-Accused of Harassment and Unauthorized Trading

Glen Rauch-Former Avenir Financial Broker-Accused of Harassment and Unauthorized Trading 150 150 Robert Rex, Esq.

UPDATE SEPTEMBER 2016-FINRA named Glen J. Rauch in a complaint alleging that following his termination from registration(see below) he repeatedly sent abusive, obscene, intimidating and threatening messages to a principal of…

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