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…
read morePeter 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…
read moreJeffrey 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…
read moreDavid Melilli Investigation April 2022- Moorestown, NJ The FINRA records of David J. Melilli ,  a  former financial advisor who was last employed by Cambridge Investment Research and Sagepoint Financial, Inc.,…
read moreClara Tang Investigation April 2022-Cupertino, CA The FINRA records of Clara Tang ,  a former stock broker with Cetera Investment Services, disclose a prior customer dispute and 2 pending customer…
read moreJoel Kichline Investigation April 2022- Frontenac, MO According to publicly available records, Joel Kichline, a currently unregistered broker who was previously employed with Stifel, Nicolaus & Company in Frontenac, MO.…
read moreFaith Read Xenos Investigation April 2022- Coral Gables, FL According to publicly available records, Faith Read Xenos, a broker with MSEC and Mariner Wealth Advisors in Coral Gables, FL,  discloses a  customer…
read moreManuel Collazo Investigation April 2022- San Juan, Puerto Rico The FINRA records of Manuel Diaz Collazo, a broker with Insigneo Securities who formerly worked for Santander Securities,  discloses 13 prior customer…
read moreAndres Jaraj Investigation April 2022- Montevideo, Uruguay The FINRA records of Andres Jaraj, a broker with Insigneo Advisory Securities who formerly worked for Northeast Securities, Inc. disclose a prior customer dispute.…
read moreMark Kregor Investigation March 2022- Louisville, KY The FINRA records of Mark F. Kregor, a broker with Stifel, Nicolaus & Company who formerly worked for Robert W. Baird,  disclose a regulatory…
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