Investors who have losses as a result of investing in Minerva-Rockdale E&P III may be able to recover some or all of their losses through arbitration. On May 16, 2016,…
read moreNew York MAY 2017 UPDATE–Francesco Scarso was permanently barred from the securities industry in 2/2017 for failing to respond to a request for information in connection with an investigation. …
read moreEnglewood Cliffs, New Jersey According to FINRA records, Lucas D. Lichtman, a stockbroker who was formerly employed by Caldwell International Securities, discloses a pending regulatory investigation . The Financial Industry Regulatory Authority (FINRA) is the agency…
read moreEnglewood Cliffs, New Jersey According to FINRA records, Richard Lim, a stockbroker who was formerly employed by Caldwell International Securities, discloses a pending regulatory investigation and 3 presently outstanding judgement/liens . The Financial Industry Regulatory…
read moreOctober 2017-Austin, Texas According to FINRA records, Paul Jacobs, a stockbroker who is currently employed by Cape Securities, discloses a prior regulatory sanction . The Financial Industry Regulatory Authority (FINRA) is the agency that licenses…
read moreEnglewood Cliffs, New Jersey According to FINRA records, Alex E. Etter, a stockbroker who was formerly employed by Caldwell International Securities, discloses a pending regulatory investigation . The Financial Industry Regulatory Authority (FINRA) is the agency…
read moreAustin, Texas OCTOBER 2017 UPDATE-Caldwell International Securities was expelled from the securities industry by FINRA January 2017. According to FINRA records, Greg A. Caldwell, a stockbroker who is currently employed by Caldwell International…
read moreSan Antonio, Texas According to FINRA records, Lennie S. Freiman, a stockbroker who most recently worked for Caldwell International Securities, but who is not currently registered with any firm, discloses a pending regulatory investigation and…
read moreCharlotte, North Carolina According to FINRA records, Michael P. Lessard, Jr., a stockbroker who currently works for Southeast Investments, discloses a regulatory investigation and a discharge from a prior firm. The Financial Industry Regulatory Authority…
read moreStaten Island, New York According to FINRA records, Frank D. Marinelli, a stockbroker who currently works for Southeast Investments, discloses two pending customer disputes, a termination, two pending judgment/liens and two final customer…
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