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Articles Posted in Alternative Investments

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Customers of Ameriprise Financial Services Broker Kevin Houser Seek $1.6M in Alternative Investment Losses

Ameriprise Financial Services Investment Advisor Accused of Unsuitability, Misrepresentations If you suffered investment losses while working with Ameriprise Financial Services stockbroker, Kevin Douglas Houser, please contact Shepherd Smith Edwards and Kantas (SSEK Law Firm at investorlawyers.com) right away.  The Center Valley, Pennsylvania financial advisor is already named in four substantial…

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Customer of UBS Broker Andrew Burish Seeks $23M Over Tesla Stock Losses

UBS Financial Broker Runs The Burish Group in the Midwest  If you are an investor who suffered losses while working with UBS broker Andrew Burish, please contact our broker fraud attorneys at Shepherd Smith Edwards and Kantas (SSEK Law Firm at investorlawyers.com).  Burish is considered a top UBS financial advisor…

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Atria Wealth Solutions to Acquire SCF Securities Which Sold GPB Investments

Wealth Management Firm Also May Have Sold ARC NYC REIT, NorthstarHealthcare Income REITs, and Other Illiquid Securities  Wealth management solutions holding company, Atria Wealth Solutions, Inc. recently announced that it is acquiring SCF Securities, which is a brokerage firm based in Fresno, California. Also included in the acquisition will be…

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$1.8B Infinity Q Diversified Alpha Fund Stops Suspensions Following Fraud Allegations

Infinity Q Capital Management Founder May Have Incorrectly Valued Certain Fund Assets The US Securities and Exchange Commission (SEC) has approved the suspension of redemptions on the $1.8B Infinity Q Diversified Alpha Investor Fund (IQDAX). This includes postponing redemption date payments past seven days. The move comes in the wake…

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Triad Advisors Broker Darrin Cohen Under Scrutiny Over Possible GPB Private Placement Sales

Wealth Enhancement & Preservation CEO Named in Two Pending Investor Claims Triad Advisors stockbroker, Darrin Stuart Cohen, is currently the subject of two pending Financial Industry Regulatory Authority (FINRA) arbitration claims from customers collectively seeking $600K in damages. The allegations involve the unsuitability of investments, including alternative investments, that were…

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Customers Accuse Ex-Fortune Financial Services Broker Jonathan Freeze of Alternative Investment Fraud

Former Canonsburg, Pennsylvania Stockbroker Faces Selling Away Allegations Three years after the Financial Industry Regulatory Authority (FINRA) barred him, Jonathan Douglas Freeze remains the subject of eight pending customer disputes. Most of these investor claims accuse him of selling away and investing customers’ funds in Alternative Investment Holdings, a North…

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Concorde Investment Services Broker William Morrow Accused by Over A Dozen Investors of Stockbroker Fraud

Morrow Allegedly Made Unsuitable Recommendations Involving Alternative Investments  In what is at least the thirteenth customer complaint naming him, Concorde Investment Services broker William Aubrey Morrow is once more accused of making unsuitable investment recommendations to an investor.  Morrow, who also operates under the name Financial Designs, LTD, has been…

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Investors Lose Money After Brokers Recommend FS KKR Capital Corp II Fund

Business Development Company May Have Been Unsuitable For Some Investors  If you are an investor who suffered losses after your stockbroker recommended the Franklin Square KKR Capital II Fund (FSKR), also known as FS KKR Capital Corp II, you may have grounds for pursuing a broker fraud claim for damages. …

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Investors Accuse Purepath Wealth Management Investment Advisor & Crown Capital Securities Broker Dennis Haywood of Making Inappropriate Investment Recommendations

Crown Capital Securities Broker Was Recently Named in Four FINRA Arbitration Claims   Dennis Haywood, a Crown Capital Securities broker, is now named in four customer disputes, all of which were filed in the last two months with the Financial Industry Regulatory Authority (FINRA). Haywood is also a Purepath Wealth Management…

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$200K Investor Claim Against Arni Diamond, Of The Diamond Group, Alleges Unsuitable Alternative Investment Recommendations

Diamond and Other Kalos Capital Brokers Are Accused of Broker Fraud  Arni Diamond, who is now a registered representative with Dempsey Lord Smith,  is currently the subject of a pending $200K broker fraud claim accusing him of making unsuitable alternative investment recommendations reportedly while he was a Kalos Capital broker. …

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