Category: Unauthorized Trades

Erez Law is interested in speaking with investors who may have suffered losses due to investments with former Cuna Brokerage Services, Inc. financial advisor Stacy Cheney-Jamison (CRD# 4318631). Cheney-Jamison has been registered multiple firms during the past few year including: … Continue reading

Did you lose money investing with Morgan Stanley financial advisor David Janny (CRD# 1272727) regarding unauthorized, unsuitable and excessive short-selling in customer accounts? Janny has been registered with Morgan Stanley in Westport, Connecticut since 2012. Janny has been the subject … Continue reading

Erez Law is interested in speaking with investors who may have suffered losses due to investments with J.J.B. Hilliard, W.L. Lyons, LLC financial advisor William Wobbe (CRD# 2620880) who is alleged to engage in unauthorized trading and unsuitability of investment … Continue reading

Erez Law is interested in speaking with investors who may have suffered losses due to investments with former Berthel Fisher & Company Financial Services, Inc. broker Mason Gann (CRD# 4030936) who is alleged to exercise discretion in customer accounts. Gann … Continue reading

Were you the victim of former Morgan Stanley financial advisor Thomas Meier (CRD# 1146044) due to unauthorized transactions and discretionary trading? Meier was registered with Morgan Stanley in Miami, Florida from 2009 to April 2016. In March 2018, FINRA barred … Continue reading

There are options for customers of former Next Financial Group, Inc. financial advisor Joseph Cotter (CRD# 1263122). Cotter was registered with Petersen Investments, Inc. in Charlotte, North Carolina from March 2016 to May 2017, when he was terminated regarding, “On … Continue reading

There are options for customers of former NMS Capital Advisors, LLC financial advisor Darrell Rideaux (CRD# 5211032) who suffered investment losses. Rideaux was registered with NMS Capital Advisors, LLC in Beverly Hills, California from August 2016 to May 2017. Previously, … Continue reading

There are options for customers of McNally Financial Services Corporation financial advisor Marshall Cassedy Jr. (CRD# 853370) who suffered losses. Cassedy has been registered with McNally Financial Services Corporation in Tallahassee, Florida since 2010. In April 2010, Cassedy was terminated … Continue reading

In March 2018, a former client of Allegis Investment Services, LLC won an award in a FINRA arbitration for compensatory damages, prejudgment interest and fees for $404,482.41. The investors were clients of financial advisor Brandon Stimpson (CRD# 4299623). The former … Continue reading

There are options for customers of First Allied Securities, Inc. financial advisor Charles Lundell (CRD# 314440) who is alleged to engage in discretionary trading in customers’ accounts. Lundell was registered with First Allied Securities, Inc. in Bellevue, Washington from 2008 … Continue reading