Author: Krysta Fioranelli

Erez Law is currently investigating Morgan Stanley broker Alfonso Rioseco (CRD# 5969776) regarding stock losses. He has been registered with Morgan Stanley in Houston, Texas, since 2019. Previously, he was registered with Actinver Wealth Management, Inc. in Houston, Texas, from … Continue reading

Former Aegis Capital Corp. broker Jack Terzi (CRD# 7008502) is accused of churning and unsuitable investment recommendations and unauthorized trades. He has been registered with Merrill Lynch, Pierce, Fenner & Smith Incorporated in Levittown, New York, since 2022. Previously, he … Continue reading

Erez Law is currently investigating Park Avenue Securities LLC broker Jason Doviak (CRD# 4266648) regarding variable annuity investment fraud. He has been registered with Park Avenue Securities LLC in Red Bank, New Jersey, since 2004. He has been a registered … Continue reading

Erez Law is interested in speaking with investors who may have suffered losses due to investments with Arive Capital Markets broker Lon Faccini, Jr. (CRD# 2736849). He was registered with Arive Capital Markets in Coram, New York, from 2016 to … Continue reading

There are options for clients of Moloney Securities Co., Inc. broker Cary Jacobs (CRD# 5029640) who suffered investment losses in common and preferred stocks. He has been registered with Moloney Securities Co., Inc. in Glenview, Illinois, since 2010. Cary Jacobs … Continue reading

Were you the victim of investment losses with ThinkEquity LLC broker Ben Sutak (CRD# 5580389)? He has been registered with ThinkEquity LLC in New York, New York, since 2017. Previously, he was registered with Westpark Capital, Inc. in New York, … Continue reading

Were you the victim of Cape Securities Inc. broker Karen Geiger (CRD# 1456604) regarding GWG Holdings Inc. L Bonds losses? She has been registered with Cape Securities Inc. in Mcdonough, Georgia, since 2017. Previously, he was registered with Cape Investment … Continue reading

In March 2023, FINRA fined Webull Financial LLC $3 million for not exercising reasonable due diligence related to options trading. Webull Financial LLC consented to the entry of FINRA’s findings, without admitting or denying the charges. It is also alleged … Continue reading

Erez Law is investigating former Fidelity Personal And Workplace Advisors broker Nathan Cedarleaf (CRD# 4341451) regarding stock losses. He has been registered with Cetera Investment Services LLC in Troy, Ohio, since 2021. Previously, he was registered with Fidelity Personal And … Continue reading

In March 2023, a former client of Oppenheimer & Co., Inc. won an award in a FINRA arbitration for compensatory damages for $1,483,670 for losses sustained from investments in the Horizon Private Equity III fund. The claimants originally sought $2.5 … Continue reading