August 2018-Tampa, Florida A panel of FINRA arbitrators ordered Trustmont Financial Group to pay a former customer more than one million dollars for violations of Florida securities laws, breach of…
read moreAugust 2018-Suwanee, Georgia The FINRA records of Eric Todd Stuckey , a stockbroker who formerly worked for Invest Financial disclose a pending customer suit, 4 prior customer disputes and 2 currently outstanding judgment/liens. The…
read moreSeptember 2019-Highland Ranch, CO The FINRA records of Scott P. Kozak , a unregistered broker who was last employed by Cetera Advisors disclose a recent regulatory event, 4 prior customer disputes and…
read moreAugust 2018-Madison, WI Buttonwood Partners, Inc. a FINRA registered broker dealer with principal offices located in Madison, Wisconsin, was recently censured and fined $50,000 by FINRA for having inadequate procedures…
read moreAugust 2018-Klamath County, Oregon According to the Herald & News a lawsuit has been filed by the estate of a former resident of Bly, Oregon, against American Independent Securities Group…
read moreAugust 2018-Melville, New York According to FINRA records, Stephen J. Sullivan, a stockbroker who currently works for SW Financial (formerly Salomon Whitney Financial) , discloses a prior regulatory event, a pending customer dispute, a…
read moreAugust 2018-Birmingham, Michigan The FINRA records of John C. Maccoll, a stock broker who was last employed by UBS Financial Services , disclose that he was recently discharged by UBS after failing to cooperate…
read moreJune 2019 UPDATE–Dallas, TX We are currently pursuing FINRA arbitration claims on behalf of more than 20 individuals who were were customers of Dexter Thomas Financial Services. These individuals are…
read moreAugust 2018-Appleton, WI The FINRA records of Edward A. Klug, a former stock broker who was last employed by Newbridge Securities , disclose 4 prior customer disputes, and 5 currently outstanding judgment/liens. The Financial…
read moreAugust 2018-Tampa, Florida The FINRA records of Michael J. Pepe, a stock broker who is currently employed by Ameriprise Financial Services , disclose a recently filed customer dispute. The Financial Industry Regulatory Authority (FINRA) is the…
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