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stockbroker negligence

Cape Securities Fined $125K by Securities Regulators

Cape Securities Fined $125K by Securities Regulators 150 150 Rex Securities Law

May 5, 2015 Cape Securities  entered into a Letter of Acceptance Waiver and Consent (AWC)  with the Financial Industry Regulatory Authority (FINRA) to resolve allegations that: from 2/2012-9/2012 Cape Securities failed…

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Former LPL Financial Broker Sanctioned by Regulators For Failing to Disclose IRS Lien

Former LPL Financial Broker Sanctioned by Regulators For Failing to Disclose IRS Lien 150 150 Rex Securities Law

July 1, 2015 John Allen Brown entered into a Letter of Acceptance Waiver and Consent (AWC) with the Financial Industry Regulatory Authority (FINRA) to resolve allegations that in June 2015 he…

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North Carolina Securities Division July 2015 Newsletter

North Carolina Securities Division July 2015 Newsletter 150 150 Rex Securities Law

July  2015- Raleigh, North Carolina The North Carolina Securities Division of the Department of the Secretary of State issues a monthly newsletter highlighting recent enforcement actions for securities violations and other…

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Orlando Florida Man Sentenced for Defrauding Investors

Orlando Florida Man Sentenced for Defrauding Investors 150 150 Rex Securities Law

July 13, 2015- Orlando, Florida The FBI announced in a Press Release that Dante S. Giovannetti, 50, of Orlando, Florida, was sentenced to 63 months in federal prison for wire fraud. He was also…

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Naples Florida Man Pleads Guilty in DG Wealth Management Investment Scheme

Naples Florida Man Pleads Guilty in DG Wealth Management Investment Scheme 150 150 Rex Securities Law

July 13, 2015- Fort Myers, Florida The FBI announced in a Press Release that Dorian Graves, 30, of Naples, Florida, pleaded guilty to wire fraud for operating an investment scheme…

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Wisconsin Securities Regulators Issue Orders Re: Sale of Unregistered Securities

Wisconsin Securities Regulators Issue Orders Re: Sale of Unregistered Securities 150 150 Rex Securities Law

July 2015 The Wisconsin  Division of Securities registers and monitors the activities of broker-dealers, securities agents, investment advisers, and investment adviser representatives. It also conducts field audits and investigates complaints…

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Investigation of William Tatro-Former First Allied Securities Stock Broker

Investigation of William Tatro-Former First Allied Securities Stock Broker 150 150 Rex Securities Law

July 10, 2015- Rex Securities Law is investigating former stock broker William “Bill” Tatro who was employed by First Allied Securities from 11/2003-9/2010. According to FINRA records, Tatro was permanently barred from the securities industry in…

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Robert K Smith- Former Berthel Fisher Broker-Discloses Customer Disputes- Mobile, Alabama

Robert K Smith- Former Berthel Fisher Broker-Discloses Customer Disputes- Mobile, Alabama 150 150 Rex Securities Law

UPDATE MARCH 2017-In  April 2016 Robert K. Smith was suspended by FINRA for three. The suspension was lifted July 12, 2016.  Smith currently discloses a total of 13 prior customer…

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Brian M. White -Former Hornor/Townsend/Kent Broker-Barred from Securities Industry-Woodlands, TX

Brian M. White -Former Hornor/Townsend/Kent Broker-Barred from Securities Industry-Woodlands, TX 150 150 Rex Securities Law

June 30, 2015 A FINRA Department of Enforcement Hearing Panel made a decision that Brian Michael White engaged in undisclosed outside business activities and  provided false testimony to FINRA staff in…

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