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Articles Posted in Financial Firms

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Ex-IFS Securities Broker Steven Schisler Barred Following Unsuitable Investment Recommendations

Ex-IFS Securities Broker Recommended Promissory Note to Elderly Investors The Financial Industry Regulatory Authority (FINRA) has barred ex-IFS Securities registered representative Steven Douglas Schisler beginning January 31, 2022. Schisler, who works out of the Greater Sacramento, California area, has been a financial planner and investment advisor for over 20 years.…

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Arizona Retirees Win $2.6M FINRA Arbitration Award Against First Allied Securities

Cetera Broker-Dealer Unsuitably Recommended Non-Traded REITs to Retired Couple Shepherd Smith Edwards and Kantas, LLP (SSEK Law Firm at investorlawyers.com) and Menzer & Hill, PA, are pleased to announce that a Financial Industry Regulatory Authority (FINRA) arbitration panel has awarded our clients a $2.6M award against First Allied Securities. This…

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Former Wells Fargo Broker Mario Rivero Charged With $500K Investment Fraud

Ex-Wells Fargo Clearing Services Advisor Allegedly Misappropriated Funds from Elderly Investors  Mario Everildo Rivero is charged with two counts of wire fraud, one count of securities fraud, and one count of investment advisor fraud. He was arrested on March 14, 2022. The ex-Wells Fargo Clearing Services broker is accused of…

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SSEK Law Firm Continues to Investigate Northstar Financial Services (Bermuda) Losses Involving East West Bank

Several East West Bank Customers Worked With Cetera Broker Linda Fang Shepherd Smith Edwards and Kantas (SSEK Law Firm at investorlawyers.com) is continuing to investigate claims of losses involving East West Bank customers who invested in Northstar Financial Services (Bermuda) products.  East West Bank had signed a partnership agreement with…

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FINRA Suspends Ex-Stifel Nicolaus Broker Andrew Elsoffer for Two Years

Ohio Financial Advisor Andrew Elsoffer Named in Multiple Customer Disputes Andrew Bruce Elsoffer, who Stifel, Nicolaus & Co. fired in 2018, is suspended by the Financial Industry Regulatory Authority (FINRA) for two years, beginning March 7, 2022. The suspension comes in the wake of customer allegations that he exercised discretion…

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Class Action Securities Lawsuit Filed Against GWG Holdings Over L Bond Losses

Texas-Based GWG Holdings and its Directors Are Defendants in Class-Action Lawsuit Two investors seeking class-action status have filed a lawsuit against GWG Holdings, Inc. (NASDAQ: GWGH). They are accusing the Texas-based alternative asset manager and investor of life settlements, as well as its directors, of making misrepresentations and omissions in…

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Trusts of Late Investor Awarded $1.875M in UBS YES Case

FINRA Arbitration Ruling Grants Largest UBS YES Award to Date   A Financial Industry Regulatory Authority (FINRA) arbitration panel has awarded a deceased investor’s family trusts $1.857M in their securities case against UBS Financial. The broker-dealer had involved the late Irving Siegel’s QTIP Trust and generation-skipping transfer trust in its UBS…

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Appointment of Class Representatives in Northstar (Bermuda) and Omnia Liquidations Doesn’t Help Investors

Joint Provisional Liquidators & Deloitte Updates Credit Holders and Policyholders On February 23, 2022, Rachelle Frisby, the Deloitte Financial Advisory head in Bermuda and the British Virgin Islands, sent a letter to creditors and policyholders updating them about the liquidation proceedings involving Northstar Financial Services (Bermuda) and Omnia, Ltd. (formerly…

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Ex-Worden Capital Broker William Athas Accused of Excessive Trading That Cost Customers $1.1M

Ex-NY Worden Capital Broker Barred After Allegedly Charging $1.6M in Commissions The Financial Industry Regulatory Authority (FINRA) has barred ex-Worden Capital Management and former SW Financial registered representative, William Nicholas Athas. This bar comes in the wake of allegations that he engaged in excessive trading in customer accounts.  According to…

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Massachusetts Charges Purshe Kaplan Sterling Investments Over Investors’ $2.3M in ETF Losses

Brokers Allegedly Involved Were Also Harvest Group Wealth Management Investment Advisers  Massachusetts Secretary of the Commonwealth William Galvin has filed a complaint against Purshe Kaplan Sterling Investments (PKS Investments), accusing the broker-dealer of failing to supervise its financial advisors. These advisors who were dually registered through another financial firm allegedly…

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