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Annuities

Dion R. Padilla-NEXT Financial Group Broker-Sanctioned Over Annuity Sales

Dion R. Padilla-NEXT Financial Group Broker-Sanctioned Over Annuity Sales 150 150 Rex Securities Law

May 2019 UPDATE- Dion Padilla/ AT&T Retirement Account investigation. See this for details.   ORIGINAL POST-July 2016- San Antonio, Texas The FINRA records of Dion R. Padilla  , a stock broker currently employed by NEXT…

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Douglas C. Robb-Former Cuso Financial Services Broker-Discloses Termination From Employment

Douglas C. Robb-Former Cuso Financial Services Broker-Discloses Termination From Employment 150 150 Rex Securities Law

Port Chester, New York According to FINRA records,  Douglas C. Robb, Jr. ,   a stockbroker who was recently employed by Cuso Financial Services , discloses  a termination. The Financial Industry Regulatory Authority (FINRA) is the agency that licenses and…

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Terry W. Chilton-Former IMS Securities Broker-Discloses Regulatory Investigation/Customer Dispute

Terry W. Chilton-Former IMS Securities Broker-Discloses Regulatory Investigation/Customer Dispute 150 150 Rex Securities Law

June 2016—-Beaumont, Texas According to FINRA records,  Terry W. Chilton ,   a stockbroker who formerly was employed by IMS Securities.   discloses  a pending regulatory investigation and a pending customer dispute. In June 2015, a FINRA…

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Robert M. Kuhn-Former UBS Broker-DIscloses Customer Dispute and Regulatory Matter-Plano, TX

Robert M. Kuhn-Former UBS Broker-DIscloses Customer Dispute and Regulatory Matter-Plano, TX 150 150 Rex Securities Law

Plano, Texas According to FINRA records, Robert M. Kuhn ,  a stock broker who worked for UBS Financial Services from  9/2011-11/2015 discloses a regulatory matter that has been finalized , a pending customer dispute  and…

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Dion R. Padilla-NEXT Financial Group Stockbroker-Investigation Update

Dion R. Padilla-NEXT Financial Group Stockbroker-Investigation Update 150 150 Rex Securities Law

May 2019 UPDATE- Dion Padilla/ AT&T Retirement Account investigation. See this for details.   Original Post-May 2016 San Antonio, Texas According to FINRA records, Dion R. Padilla ,  a stock broker who has…

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Michael J. Smeriglio Customer Paid $2.5 Million Settlement

Michael J. Smeriglio Customer Paid $2.5 Million Settlement 150 150 Rex Securities Law

April 2016-Trumbull, CT The Financial Industry Regulatory Authority (FINRA) is the agency that licenses and regulates stockbrokers and brokerage firms. FINRA requires brokers and brokerage firms to report customer complaints and…

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Jamey Graham-Hilltop Securities Broker-Named in Customer Dispute-Plano,TX

Jamey Graham-Hilltop Securities Broker-Named in Customer Dispute-Plano,TX 150 150 Rex Securities Law

April 11, 2016-Plano, Texas The Financial Industry Regulatory Authority (FINRA) is the agency that licenses and regulates stockbrokers and brokerage firms. FINRA requires brokers and brokerage firms to report customer complaints…

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Robert Hardcastle Investigation-VSR Financial Services Stockbroker

Robert Hardcastle Investigation-VSR Financial Services Stockbroker 150 150 Rex Securities Law

Chesterfield, MO Rex Securities Law is investigating VSR Financial Services broker Robert B. Hardcastle  in connection with the sale of fixed annuities, mutual funds, equities,  limited partnerships, direct investments in oil & gas,  and…

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