JUNE 2017- New York, NY According to publicly available records Gregg D. Templeton (CRD#2412775) , a former stockbroker who was previously registered with Oppenheimer & Co., discloses a prior regulatory event, a currently pending…
read moreMay 2017- Melville, NY According to publicly available records Keith J. Hart (CRD#4438580) , a stockbroker who is currently not registered, but was previously registered with Aegis Capital Corp., discloses 2 pending customer disputes.…
read moreSeptember 2019-Port Washington, NY-Tampa, FL The FINRA records of David S. Silberg , a broker who previously worked for Aegis Capital Corp. disclose a prior regulatory event, 3 prior final customer disputes and…
read moreApril 2017- Hauppauge, NY The FINRA records of John David Fenimore , a former Aegis Capital stockbroker who is currently not registered disclose a pending customer dispute and a prior customer dispute that has been settled.…
read moreApril 2017- New York The FINRA records of Demitrios Hallas , a former PHX Financial stockbroker who is currently not registered disclose two final regulatory events, 2 prior customer disputes and a termination from employment.…
read moreApril 2017- Melville, NY According to publicly available records Christopher A. Knutson , (CRD# 2997006) , a stockbroker who is currently registered with Aegis Capital Corp. discloses settlement of a customer dispute. The Financial Industry Regulatory…
read moreApril 2017- Hoboken, New Jersey According to publicly available records James L. Powers , (CRD# 1793348) , a currently unregistered stockbroker who was last registered with IFS Securities discloses a pending regulatory event. The Financial Industry Regulatory…
read moreMARCH 2018 UPDATE–Gary E. Morse left Celadon Financial Group 8/2017 and is currently registered with Precision Securities. His FINRA records disclose currently outstanding liens owed to the Internal Revenue Service…
read moreMarch 2017-New York According to publicly available records filed with the Securities & Exchange Commission, Aegis Capital Corporation is being investigated by three regulatory agencies: FINRA-The Financial Industry Regulatory Authority SEC-Securities &…
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