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Articles Posted in Voya Financial Advisors

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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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SEC Sanctions Voya Financial Advisors $23M Over Conflicts That Cost Customers

Broker-Dealer’s RIA Accused of Violating Fiduciary Duty  The US Securities and Exchange Commission (SEC) and Voya Financial Advisors have arrived at a $22.9M settlement, including $13.9M in restitution and interest to customers that were harmed. Voya Financial Advisors is an independent brokerage firm that is run as both a broker-dealer…

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SSEK Law Firm Investigates Ex-Broker James T. Flynn and Voya Financial Advisors

If you are an investor who suffered financial losses while working with former Voya Financial Advisors (VOYA) broker James T. Flynn, please contact Shepherd Smith Edwards and Kantas, LLP (SSEK Law Firm) today.  Our broker fraud lawyers are investigating claims brought by the former clients of Mr. Flynn while he…

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