Former UBS Advisor Tracy Longstreet Accused in Major Investment Theft and Misconduct Scandal

Former UBS Advisor Tracy Longstreet Accused in Major Investment Theft and Misconduct Scandal

About the Allegations Tracy Marie Longstreet has recently come under scrutiny due to serious allegations lodged against her by an investor. These accusations, ranging from theft to unlawfully modifying IRA beneficiaries, are more than just concerning. They can lead to catastrophic financial loss and shattered trust among investors. As a financial advisor, Longstreet was entrusted […]

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FINRA Investigation: Sean Barakat Accused of Excessive Trading

FINRA Investigation: Sean Barakat Accused of Excessive Trading

Recently, I stumbled across a rather concerning piece of news involving one Sean Barakat (also known as Shadi Barakat)(CRD#: 5031281), who has found himself subjected to a file a FINRA complaint filed by the Financial Industry Regulatory Authority (FINRA) on September 9, 2024. As someone with years of experience in the financial and legal industries,

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Ex-Edward Jones Advisor Tim Van Dyken Accused of Unauthorized Trades, Altering Records by State Regulators

Ex-Edward Jones Advisor Tim Van Dyken Accused of Unauthorized Trades, Altering Records by State Regulators

As a former financial advisor and legal expert, I’ve seen my fair share of cases where advisors have faced regulatory action. The recent case involving Tim Van Dyken, a Mt. Vernon, Washington-based advisor formerly with Edward Jones and now with Ameriprise Financial Services, is a serious matter that investors should pay close attention to. According

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Ex-Morgan Stanley Advisor Craig Thistlethwaite Fined for Improper Conduct

Ex-Morgan Stanley Advisor Craig Thistlethwaite Fined for Improper Conduct

A Deep Dive into the Allegation’s Seriousness, Case Information, and Its Impact on Investors An in-depth look at the Craig Sherman Thistlethwaite case exposes a profound breach of investor trust. Thistlethwaite, a former broker and investment advisor at Morgan Stanley, was recently accused of unauthorized trading in two customers’ accounts without obtaining written approval –

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Allegations of Gerry Linarducci’s Drive Planning 0M Ponzi Scheme Ensnare MML

Allegations of Gerry Linarducci’s Drive Planning $300M Ponzi Scheme Ensnare MML

As a financial analyst and legal expert with over a decade of experience in both sectors, I’ve seen my fair share of investment schemes and regulatory violations. The recent case involving Gerry Linarducci and Drive Planning is one that demands attention, as it has serious implications for investors. On August 13, 2024, the Securities and

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Noah Sosa Terminated by Osaic FS Amid Undisclosed Allegations

Noah Sosa Terminated by Osaic FS Amid Undisclosed Allegations

As a seasoned financial analyst and legal expert, I understand the gravity of allegations made against financial advisors and the potential impact on investors. The recent termination of Noah Sosa by Osaic FS is a serious matter that warrants close examination. According to Sosa’s BrokerCheck record, accessed on September 13, 2024, he was fired by

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John Perez-Cubero Barred by FINRA Over Conversion Allegations

John Perez-Cubero Barred by FINRA Over Conversion Allegations

I am Emily Carter, a financial analyst and legal expert. Take a seat as I unpack details of a recent shockwave to hit the finance industry. Specifically, I’ll address the case involving John Perez-Cubero, a financial advisor who was barred by the Financial Industry Regulatory Authority (file a FINRA complaint) following allegations of conversion and

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Financial Advisor Eric Felsenfeld Facing Complaint Over Alleged Misrepresentation at Kingswood Capital

Financial Advisor Eric Felsenfeld Facing Complaint Over Alleged Misrepresentation at Kingswood Capital

As a former financial advisor and legal expert with over a decade of experience, I’ve seen firsthand the devastating impact that misrepresentation and unsuitable investment recommendations can have on investors. The recent file a FINRA complaint against Eric Felsenfeld, a Rockville, Maryland-based financial advisor with Ameriprise Financial Services, serves as a stark reminder of the

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Danny Strain of Cape Securities Faces Pending Disputes Over Misrepresentation Claims

Danny Strain of Cape Securities Faces Pending Disputes Over Misrepresentation Claims

Unraveling Serious Allegations and Their Impact on Investors As the acclaimed writer Mark Twain once remarked, ‘It ain’t what you don’t know that gets you into trouble. It’s what you know for sure that just ain’t so.’ This assertion holds alarmingly true in a recent episode centered around financial analyst Danny Ray Strain (CRD#:437903), a

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Edward Jones Terminates Broker Akinfolarin Sessi Over Compliance Investigation Irregularities

Edward Jones Terminates Broker Akinfolarin Sessi Over Compliance Investigation Irregularities

Understanding the Allegations Against Akinfolarin Sessi – A Case Study for Investors Apprehending the Seriousness of Allegations On the surface, the allegations against Akinfolarin Sessi may seem like a minor breach of protocol, but any deviation from file a FINRA complaint’s standard of commercial honor holds gravity. As a financial advisor employed by Edward Jones,

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