Emily

Emily Carter is an experienced financial investigative journalist with over ten years in the field. A Stanford Economics graduate, she began her career as a financial analyst before transitioning to journalism. At FinancialAdvisorComplaints.com since 2020, Emily specializes in uncovering financial advisor malpractices and advocating for consumer rights. Her work, known for its thorough research and engaging narrative, has led to significant policy changes and industry reforms. Emily authors the weekly column "The Fiscal Watchdog," providing insights into financial trends and tips on selecting ethical advisors. Recognized for her contributions to financial journalism, she has received multiple awards and is a sought-after speaker at industry events. Outside of her investigative endeavors, Emily enjoys hiking and supporting financial literacy initiatives.

Emily
Broker Stephen White at Rockefeller Financial Faces Allegations of Unsuitable Investment Recommendations

Broker Stephen White at Rockefeller Financial Faces Allegations of Unsuitable Investment Recommendations

Rockefeller Financial LLC finds itself in the spotlight as one of its registered financial advisors, Stephen Edward White, faces a serious pending customer file a FINRA complaint. Investors rely on their financial advisors for guidance and protection, hoping that every recommendation considers their best interests above all else. When this trust is challenged, it raises […]

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B. Riley Financial Faces Lawsuit Over Undisclosed Loans to Franchise Group CEO

B. Riley Financial Faces Lawsuit Over Undisclosed Loans to Franchise Group CEO

B. Riley Financial and its two-decade advisor relationship with Brian Kahn—the former CEO of Franchise Group—recently became the focus of serious scrutiny in the financial world. What began as an ordinary partnership between a major broker-dealer and a corporate client soon unraveled into a cautionary tale filled with lessons for investors and industry professionals alike.

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Arvind Saxena Terminated by NYLife Securities for Unapproved Business Activity

Arvind Saxena Terminated by NYLife Securities for Unapproved Business Activity

NYLife Securities and financial advisor Arvind Saxena became entwined in a case that serves as a cautionary tale for both investors and professionals in the financial industry. When the trust between an advisor and their firm falters, the reverberations can affect everyone involved—from the advisor’s career to clients’ confidence in the financial system. When the

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Shimshon Plotkin Faces 12 REIT Disputes at Independent Financial Group

Shimshon Plotkin Faces 12 REIT Disputes at Independent Financial Group

Independent Financial Group, LLC and one of its former financial advisors, Shimshon Plotkin, offer a cautionary tale about the complexities and pitfalls of real estate investment trust (REIT) recommendations. While REITs are designed to provide regular income and diversified exposure to real estate markets, the case involving Shimshon Plotkin (CRD #2431863) demonstrates the importance of

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Florida Advisor Richard Kersting Faces 0K Suitability Complaint at Ameriprise Financial

Florida Advisor Richard Kersting Faces $500K Suitability Complaint at Ameriprise Financial

Ameriprise Financial Services and its advisor, Richard Kersting, have recently come under scrutiny due to a high-profile file a FINRA complaint that has raised questions about suitability and investor protection in the financial advisory industry. Operating out of Naples, Florida, Richard Kersting (CRD# 1835418) faces allegations that highlight the vital importance of verifying your financial

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Financial Advisor Samuel Stewart Terminated by National Financial Services for Timesheet Inaccuracies

Financial Advisor Samuel Stewart Terminated by National Financial Services for Timesheet Inaccuracies

National Financial Services LLC recently terminated one of its registered financial advisors, Samuel Stewart, shedding light on the vital connection between trust and transparency in the financial industry. On December 1, 2025, National Financial Services LLC discharged Samuel Stewart, citing inaccurate reporting of his timesheets—a matter that, on the surface, may appear administrative but carries

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California Advisor John Balmer at Kingswood Faces M Real Estate Complaint

California Advisor John Balmer at Kingswood Faces $10M Real Estate Complaint

Kingswood Capital Partners and financial advisor John Balmer are now in the spotlight after a customer filed a $10 million file a FINRA complaint against Mr. Balmer in December 2025. Based in Irvine, California, Mr. Balmer is registered both as a broker with Kingswood Capital Partners (since 2023) and as an investment advisor with DST

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Advisor Robert Lankin Resigns from Morgan Stanley Over Undisclosed Business Activities

Advisor Robert Lankin Resigns from Morgan Stanley Over Undisclosed Business Activities

Morgan Stanley Smith Barney and former financial advisor Robert Jason Lankin present a compelling case study regarding the consequences of disregarding industry regulations on outside business activities. Investors naturally expect that their advisors act with full transparency, honesty, and in strict accordance with compliance protocols. However, as illustrated in Robert Lankin’s recent career developments, even

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Rick Abbe Faces LPL Financial Investor Complaint Over Mutual Fund Trades

Rick Abbe Faces LPL Financial Investor Complaint Over Mutual Fund Trades

LPL Financial and its affiliated advisor Rick Abbe are at the center of a recent investor file a FINRA complaint that invites investors to examine the delicate intersection of trust, regulation, and accountability in the financial industry. With over four decades of experience, Rick Abbe is a well-established figure in the world of financial advising,

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Scott Gregory Leaves Benjamin F. Edwards After Unauthorized Trading Settlement

Scott Gregory Leaves Benjamin F. Edwards After Unauthorized Trading Settlement

Benjamin F. Edwards & Company recently made headlines when it terminated its relationship with financial advisor Scott Gregory following an investor file a FINRA complaint that highlights why vigilance and transparency are essential in the financial world. Based in Decatur, Illinois, Scott Gregory has been a familiar figure for clients seeking guidance in growing, protecting,

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