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Articles Posted in Cetera Advisors

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Customers Accuse Ex-Cetera Broker Robert Wolfe of Unsuitability and Omissions

Fort Lauderdale, Florida Financial Advisor is Named in Six-Figure Customer Dispute Robert Brian Wolfe, who was a Goldman Sachs broker from July 2020 to October 2021, was recently dismissed by the broker-dealer. His firing came following allegations related to client communications involving market valuations and portfolio performance, as well as…

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Cetera Advisors Broker Jeffrey Meyers Accused of Making Unsuitable REIT Investment Recommendations

Hospitality Investors Trust Was One of the REITs Marketed Cetera Advisors Network broker Jeffrey Gerard Meyers, an Overland Park, Kansas financial advisor, is named in two pending customer disputes.  The claimants are accusing him of making unsuitable investment recommendations involving non-liquid real estate investment trusts (REIT). One of the products…

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Ex-Voya Financial Advisors Broker Ronnie Metcalf Faces Over $6.5M in Current Customer Disputes

South Carolina Financial Advisor Named in Five Pending Customer Disputes Cetera Advisors Network registered representative, Ronald Franklin Metcalf, Jr, is named in five pending customer disputes in which the claimants are seeking more than $6.5M in financial recovery.  All of them accuse Metcalf of failing to supervise other registered representatives…

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Former Cetera Advisors Network Broker David Rockwell Sentenced To Prison For Fraud

Ex-Fort Meyers, Florida Financial Advisor Misappropriated $1.02M From Investors  A former Cetera Advisors Network registered representative, David Aaron Rockwell, has been sentenced to 63 months in federal prison for multiple counts of bank fraud and wire fraud. According to the US Justice Department, Rockwell defrauded investors of over $1.02M and…

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Ex-Cetera Advisors Broker Mark Barrand Accused of Making Unsuitable Investment Recommendations

Denver Financial Advisor Mark Barrand Named in Pending Customer Disputes  Mark Allen Barrand, an Ameriprise Financial broker based in Denver, has nine customer claims on his BrokerCheck record. The most recent one, brought in February 2021, was from his time as a Cetera Advisors registered representative.  Barrand has worked 14…

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Shepherd Smith Edwards and Kantas Investigates Ex-Cetera Advisors Broker Roger Owens

Fired Cetera Advisors Broker Accused Of Unauthorized Securities Sales Our stockbroker fraud attorneys are speaking to former clients of former Cetera Advisors LLC broker, Roger Lee Owens that sustained substantial investment losses while working with him. Contact Shepherd Smith Edwards and Kantas (SSEK Law Firm) today to schedule your free,…

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SSEK Explores Investor Claims Involving Ex-Cetera Advisors Broker Stephen Carver

Former LifeMark Securities Broker Gets Banned By FINRA  If you are an investor who suffered losses while Stephen Carver handled your investments and wish to file an investor claim, our broker misconduct attorneys at Shepherd Smith Edwards and Kantas (SSEK Law Firm) want to talk to you.  Carver, who most…

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SEC’s Broker-Dealer Fraud Case Against Cetera Advisors Reaches $21M

Cetera Advisors Fraud Case Rises To $21M Two months after suing Cetera Advisors for more than $10M for allegedly defrauding retail clients, the US Securities and Exchange Commission (SEC) has amended its complaint, adding another Cetera Financial Group firm as a defendant. The regulator is now seeking $21M. According to…

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Cetera Advisors Accused of Defrauding Investors of $10M

The US Securities and Exchange Commission (SEC) has filed civil charges accusing Cetera Advisors of defrauding its retail clients through $10M in unnecessary commissions and fees. The regulator is accusing the registered investment adviser (RIA) of selling these customers costlier share classes even though they qualified to invest in less…

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Ex-Cetera, UBS, and Spencer Edwards Brokers Barred

Former Cetera Broker Allegedly Engaged in Outside Business Activities The Financial Industry Regulatory Authority (FINRA) announced that it is barring Nina Jessee, a former Cetera Advisors broker. The bar comes after Jessee failed to cooperate with the self-regulatory organization (SRO), which was investigating complaints about her related to alternative investments,…

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