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
Florida Advisor Chris Mavrakos at LPL Financial Faces 0K Complaint Over Short Positions

Florida Advisor Chris Mavrakos at LPL Financial Faces $250K Complaint Over Short Positions

LPL Financial and financial advisor Chris Mavrakos are currently in the spotlight due to a pending investor file a FINRA complaint that raises important questions about transparency and best practices in the securities industry. For clients seeking guidance with their investments, these developments are a reminder of how vital open communication is for building trust […]

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Chris Mavrakos LPL Financial Complaint: Investor Alleges Undisclosed Short Positions in Account

Chris Mavrakos LPL Financial Complaint: Investor Alleges Undisclosed Short Positions in Account

LPL Financial and its Safety Harbor, Florida advisor, Chris Mavrakos, recently found themselves at the center of a significant investor file a FINRA complaint. With nearly four decades of industry experience, Chris Mavrakos (CRD# 1793086) has been a familiar presence in the financial services arena. When allegations emerge against such a seasoned professional, investors and

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Former NYLIFE Securities Advisor William Humbarger Faces 13 Customer Complaints Over Insurance Sales

Former NYLIFE Securities Advisor William Humbarger Faces 13 Customer Complaints Over Insurance Sales

NYLIFE Securities LLC, a major player in the insurance and financial services industry in the United States, has found itself at the center of controversy due to the actions of a former registered representative, William Helms Humbarger. Investors, retirees, and policyholders across the country should take note of Humbarger’s story, which vividly illustrates the potential

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San Antonio Advisor Stephen Scott at Morgan Stanley Faces Options Trading Suitability Complaint

San Antonio Advisor Stephen Scott at Morgan Stanley Faces Options Trading Suitability Complaint

Morgan Stanley and its San Antonio-based financial advisor, Stephen Scott, are currently in the spotlight due to a pending customer file a FINRA complaint involving options trading. The complaint, filed in March 2026, alleges that Stephen Scott recommended a covered call options strategy that was unsuitable for his client’s investment objectives. While the outcome is

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Morgan Stanley Advisor Stephen Scott Faces Suitability Complaint Over Options Strategy

Morgan Stanley Advisor Stephen Scott Faces Suitability Complaint Over Options Strategy

Morgan Stanley finds itself in the spotlight after a recent customer file a FINRA complaint was filed against one of its seasoned San Antonio-based advisors, Stephen Scott. With a career spanning 17 years in the securities industry—and a record that has, until now, shown no signs of trouble—this new allegation is a stark reminder of

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William Duffy: 10 Customer Disputes Reveal Troubling Pattern at Multiple Broker-Dealers

William Duffy: 10 Customer Disputes Reveal Troubling Pattern at Multiple Broker-Dealers

Innovation Partners LLC and their former advisor, William Christopher Duffy, provide a notable case study in the importance of due diligence when selecting a financial professional. Investors trust their financial advisors with more than just money—they entrust their future financial security and well-being. The story of William Duffy (CRD #6726333) demonstrates how investor trust can

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San Francisco Advisor Ken Vercellino Faces .9 Million Investor Complaint at Raymond James

San Francisco Advisor Ken Vercellino Faces $10.9 Million Investor Complaint at Raymond James

Raymond James & Associates and its representative, Ken Vercellino, are facing significant scrutiny in San Francisco following a high-value investor file a FINRA complaint. The matter, which has raised eyebrows across the financial advisory industry, centers on both the suitability of investment recommendations and the proper use of discretionary authority—issues that strike at the core

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Ken Vercellino Faces  Million Complaint Over JP Morgan Securities Account Handling

Ken Vercellino Faces $10 Million Complaint Over JP Morgan Securities Account Handling

Raymond James & Associates and financial advisor Ken Vercellino (CRD# 2583864) have recently come under heightened scrutiny following a pending investor file a FINRA complaint alleging damages of over $10 million. Based in San Francisco, Mr. Vercellino brings nearly three decades of experience across several respected firms, yet this recent development underscores the importance of

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Victoria Crisomia Terminated by Merrill Lynch Over Client Identity Verification Issues

Victoria Crisomia Terminated by Merrill Lynch Over Client Identity Verification Issues

Merrill Lynch, Pierce, Fenner & Smith Incorporated recently made headlines with the discharge of former broker Victoria Patricia Crisomia, an advisor whose career at the firm came to an abrupt halt in January 2026. The reason: an alleged failure to verify a client’s identity before assisting with significant wire transactions—one of the most essential safeguards

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