Unauthorized Trading Allegations Rock LPL’s Peter Cox, NSB Wealth Advisors Face Scrutiny

Unauthorized Trading Allegations Rock LPL’s Peter Cox, NSB Wealth Advisors Face Scrutiny

As a former financial advisor and legal expert with over a decade of experience, I’ve seen my fair share of cases involving unauthorized churning and excessive trading and the serious consequences it can have for investors. The recent file a FINRA complaint against Peter Cox, a Las Vegas-based financial advisor with NSB Wealth Advisors, is […]

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Camarda’s Alleged M Fraud Rocks A.G. Morgan, Par Funding Dealings

Camarda’s Alleged $75M Fraud Rocks A.G. Morgan, Par Funding Dealings

The serious allegations against Vincent Camarda, a New York-based financial advisor, have sent shockwaves through the investment community. As an expert in both finance and law, I’ve closely followed this case and its potential ramifications for investors. According to the Securities and Exchange Commission (SEC), Mr. Camarda and his firm, A.G. Morgan Financial Advisors, raised

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Tammy Bowman of Janney Montgomery Scott Faces Unsuitable Investment Allegations

Tammy Bowman of Janney Montgomery Scott Faces Unsuitable Investment Allegations

As a seasoned financial analyst and legal expert, I’ve seen my fair share of investor disputes over the years. The recent allegations against Tammy Bowman, a broker registered with Janney Montgomery Scott, are serious and warrant close attention from the investing public. According to Bowman’s BrokerCheck record, accessed on September 17, 2024, investors filed a

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Broker Daniel Aruca Faces Investor Dispute over Unsuitable Investment Recommendations

Broker Daniel Aruca Faces Investor Dispute over Unsuitable Investment Recommendations

Investors Beware: Serious Allegations Leveled Against Daniel Aruca Unraveling the Allegations Meet Daniel Aruca, a high profile financial broker registered with Morgan Stanley. With a prolific career supporting his reputation, Mr. Aruca recently fell under scrutiny for allegedly recommending unsuitable alternative investments. This merits attention, for, in the world of investing, unsuitable recommendations can gravely

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Former Osaic Wealth Broker, Marat Likhtenstein, Barred by FINRA for Alleged Misconduct

Former Osaic Wealth Broker, Marat Likhtenstein, Barred by FINRA for Alleged Misconduct

Allegation’s Seriousness, Case Information, and Impact on Investors Marat Likhtenstein (CRD#: 2470480), a former registered broker and investment advisor, faces severe allegations. These include the refusal to provide critical documentation requested by the Financial Industry Regulatory Authority (file a FINRA complaint) and failure to disclose personal loan transactions with a client. These allegations came in

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Investor Caution: Alleged M Damages by Buonanno at Cetera Advisor Networks

Investor Caution: Alleged $1M Damages by Buonanno at Cetera Advisor Networks

As a former financial advisor and legal expert with over a decade of experience, I’ve seen my fair share of investor complaints and the devastating impact they can have on individuals’ financial well-being. The recent allegation against East Northport, New York financial advisor Michael Buonanno (CRD# 2823332) is a serious matter that warrants close examination.

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Financial Advisor Tory Duggins Suspended for Excessive Trading Allegations

Financial Advisor Tory Duggins Suspended for Excessive Trading Allegations

The Seriousness of the Allegations and Impact on Investors Tory Duggins, a financial advisor with a career in the securities industry, has recently been called into question. According to the Financial Industry Regulatory Authority (FINRA), Duggins has been suspended for 18 months for willfully violating the Best Interest Obligation under Rule 15l-1 of the Exchange

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Mara Otley Fired by Wells Fargo Amid Misconduct Allegations, Joins IFP Securities

Mara Otley Fired by Wells Fargo Amid Misconduct Allegations, Joins IFP Securities

As a financial analyst and legal expert with over a decade of experience, I understand the gravity of allegations against financial advisors and the potential impact on investors. The recent case of Mara Otley, a broker formerly registered with Wells Fargo Advisors Financial Network and currently with IFP Securities, is a prime example of the

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Maryland Advisor Bill Young, Formerly with Kingswood and H. Beck, Faces Multiple Investor Complaints

Maryland Advisor Bill Young, Formerly with Kingswood and H. Beck, Faces Multiple Investor Complaints

As a former financial advisor and legal expert with over a decade of experience in both sectors, I’ve seen my fair share of investor complaints and regulatory actions. The recent file a FINRA complaint against Bill Young, a Rockville, Maryland-based financial advisor, caught my attention due to the seriousness of the allegations and the potential

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Ex-JP Morgan Broker Michael Gunn Steps Down Following Misconduct Allegations

Ex-JP Morgan Broker Michael Gunn Steps Down Following Misconduct Allegations

The Implications of Michael Gunn’s Allegations Accusations against Michael Gunn came to light when he resigned voluntarily from JP Morgan Chase Bank after an internal review flagged concerns about some of his practices. The allegations suggest that Gunn had input incorrect details into an internal system, indicating that a client was present for a transaction.

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