Category: Options

Erez Law is currently investigating former Hefren-Tillotson, Inc. broker Wesley Creese (CRD# 2967082) regarding options losses. Creese has been registered with Mid Atlantic Capital Corporation in Wexford, Pennsylvania since 2017. Previously, Creese was registered with Hefren-Tillotson, Inc. in Pittsburgh, Pennsylvania … Continue reading

Erez Law is interested in speaking with investors who may have suffered losses due to investments with Wedbush Securities Inc. broker David Hirons (CRD# 2424566). Hirons has been registered with Wedbush Securities Inc. in San Diego, California since 2018. Previously, … Continue reading

Erez Law is currently investigating former Raymond James broker Daniel Pimental (CRD# 2196343) regarding options losses. Pimental has been registered with Wells Fargo Advisors Financial Network, LLC in Hingham, Massachusetts since 2015. Previously, Pimental was registered with Raymond James Financial … Continue reading

On May 15, 2020, Erez Law was featured in Wall Street Journal’s article titled: When Failure Is an Option: A Trading Strategy Soaks Investors. Click here to download the article. Erez Law represents investors in the United States for claims … Continue reading

There are options for customers of former WestPark Capital Inc. broker Terry Au (CRD# 5579990) who suffered investment losses. Au has been registered with Spartan Capital Securities, LLC in New York, New York since August 2019. Previously, Au was registered … Continue reading

Erez Law recently filed a FINRA arbitration against Merrill Lynch for Harvest Collateral Yield Enhancement Strategy (CYES) losses. Their customer alleges that Gordon Harper (CRD #5460504), who has been a registered representative of Merrill Lynch, Pierce, Fenner & Smith Incorporated … Continue reading

In October 2019, a former client of Merrill Lynch Pierce Fenner & Smith Inc. won an award in a FINRA arbitration for compensatory damages for $330,000 for investment losses sustained. FINRA found that the former Merrill Lynch Pierce Fenner & … Continue reading

Former Allegis Investment Services, LLC broker Brandon Stimpson (CRD# 4299623) is accused of unsuitable investment recommendations in options. Stimpson was registered with United Planners’ Financial Services Of America A Limited Partner in Logan, Utah from May to June 2019. Stimpson … Continue reading

Did you lose money investing with former Wells Fargo broker Leonard Kinsman (CRD# 2816535)? According to public records, Kinsman faces a FINRA customer complaint seeking $591,916 in compensatory damages and $1,776,000 in punitive damages, plus costs and lawyers’ fees, for … Continue reading

Erez Law is currently investigating former Morgan Stanley broker Scott Donato (CRD# 2336331) regarding options losses. Donato was registered with Morgan Stanley in Miami, Florida from 2009 to 2017. In March 2019, FINRA barred Donato after he failed to respond … Continue reading