Paul W. Witthauer G.A. Repple & Co.  Investigation September 2022- Jamestown, N. Dakota The FINRA records of  Paul Witthauer , a broker with G.A. Repple and Company,  disclose recently a filed suit…
read moreMichael Valenta Investigation September 2022- Westminster, CO The FINRA records of  Michael J. Valenta , a broker with Cambridge Investment Research Advisors,  disclose recently filed suits by customers seeking damages for oil…
read moreDonnie Ingram Investigation September 2022-Winter Haven, FL According to publicly available records Donnie E. Ingram, (CRD# 1416971) ,  a  stockbroker who previously worked for  Centaurus Financial Inc. ,  disclose 9  prior customer disputes…
read moreSean Sullivan  Investigation September 2022- Melville, NY According to publicly available records, Sean T. Sullivan,  a former Aegis Capital broker discloses  customer disputes and a termination from employment. The Financial Industry…
read moreEfthimios (Tim) Petrou Investigation September  2022 – Ronkonkoma, NY According to publicly attained records,  Efthimios (Tim) Petrou, a stockbroker who was last employed by Arive Capital Markets ,  discloses a recent…
read moreDerick  Strickland Investigation September 2022- Houston, TX The FINRA records of Derick Montrele Strickland , a former broker with Allstate Financial Services,  disclose a recent bar from the securities industry. The…
read moreMarc Lowell Investigation September  2022- Ft. Lauderdale, FL The FINRA records of Marc Layne Lowell,   a  stockbroker previously employed by LPL Financial and who is currently employed with Alliance Global Partners…
read moreJon Vinge & GWG L-Bond Investigation August 2022-Colorado Springs, CO The FINRA records of Jonathan C. Vinge,  an  Intervest International Equities Corp.  broker was recently named in a FINRA arbitration by a…
read moreKovack Securities Investigation August 2022- Ft. Lauderdale, Florida The Securities and Exchange Commission (SEC) settled charges against registered investment advisor Kovack Advisors, Inc. for misconduct related to its wrap fee…
read moreDavid Lentz Investigation August 2022-Kernersville, North Carolina The FINRA records of David W. Lentz,  a  former Kestra Investment Services broker and owner of Thorium Wealth Management disclose a pending customer dispute seeking millions in damages. The Financial Industry…
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