August 2016- Buffalo, New York The FINRA records of Raymond T. Clark, a former stock broker who FINRA has permanently barred from acting as a broker or otherwise associating with firms that…
read moreGreen Bay, WI According to FINRA records, Matthew J. Streckenbach , a stockbroker who currently works for Packerland Brokerage Services , discloses a termination from employment. The Financial Industry Regulatory Authority (FINRA) is the agency that…
read moreBrent Van Lott Investigation October 2022- Orem, Utah According to FINRA records, Brent Van Lott , a stock broker who is not currently and who was last employed by MHL Investments , discloses a regulatory event,…
read moreCharlotte, North Carolina According to FINRA records, Michael P. Lessard, Jr., a stockbroker who currently works for Southeast Investments, discloses a regulatory investigation and a discharge from a prior firm. The Financial Industry Regulatory Authority…
read moreScottsdale, AZ According to FINRA records, Mark C. Quale, a broker who began working for First Financial Equity Corp. in 12/2005 discloses that he was discharged by First Financial Equity in…
read moreApril 1, 2016-Snohomish, WA In 2013 Brian Brunhaver, a former stock broker with LPL Financial, was sanctioned the Washington State Securities regulators for the sale of non publicly traded real…
read moreNorman, OK MAY 2017 UPDATE-In January 2017 Beth E. Dutoit was suspended for three months by FINRA and fined $5,000 to resolve allegations that she had customers sign blank forms…
read moreScotrun, PA UPDATE January 2020– Anthony Diaz discloses a total of 50 customer complaints, 3 of which are still pending. UPDATE APRIL 2017-The New Jersey Bureau of Securities revoked Anthony…
read moreJanuary 27, 2016- Maryland Michael Roger Griffith entered into a Letter of Acceptance Waiver and Consent (AWC) with the Financial Industry Regulatory Authority (FINRA) to resolve allegations that he submitted two fictitious applications…
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