Author: Jeff Erez

Erez Law is interested in speaking with investors who may have suffered losses due to investments with RBC Capital Markets, LLC broker Christopher Phillips (CRD# 4761544). Phillips has been registered with RBC Capital Markets, LLC in Stamford, Connecticut since 2018. … Continue reading

Erez Law is currently investigating former LPL Financial LLC broker Joe Franklin (CRD# 2673133) regarding investment losses. Franklin was registered with LPL Financial LLC in Hixson, Tennessee from 2010 to April 2020. Franklin has been the subject of three customer … Continue reading

There are options for clients of former Centaurus Financial, Inc. and LPL Financial LLC broker Galen Kopman (CRD# 3011906) who suffered investment losses. Kopman was registered with Centaurus Financial, Inc. in Vancouver, Washington from 2015 to 2018. Previously, Kopman was … Continue reading

Erez Law is currently investigating brokers across the country who recommended their clients invest in GeoStellar, Inc., an Internet-scale solar energy platform based in Martinsburg, West Virginia. GeoStellar, Inc. filed for Chapter 7 bankruptcy in January 2018. The company has … Continue reading

Former RBC Capital Markets, LLC broker Frank Nickey (CRD# 4287405) faces a customer complaint for Puerto Rico Bonds and master limited partnership (MLP) investment losses. Nickey has been registered with Cuso Financial Services, L.P. in Newport News, Virginia since August … Continue reading

In December 2021, FINRA sanctioned Transamerica Financial Advisors $8.8 million over unsuitable sales of mutual funds, variable annuities, and 529 savings plans. The settlement included $4.4 million restitution and a $4.4 million fine to 2,400 affected customers. FINRA found that … Continue reading

Were you the victim of former National Securities Corporation broker Rodrigue Lors (CRD# 4379214)? He has been registered with Wilmington Capital Securities, LLC in Westbury, New York, since 2017. Previously, Lors was registered with National Securities Corporation in Westbury, New … Continue reading

There are options for clients of former Triad Advisors LLC broker Michael Payne (CRD# 2289904) who suffered investment losses. Payne has been registered with Proequities, Inc. in Longwood, Florida since April 2018. Previously, Payne was registered with Barr Financial Services, … Continue reading

Were you the victim of former TD Ameritrade, Inc. broker Kwasi Aggor (CRD# 4974222)? Aggor was registered with TD Ameritrade, Inc. in Providence, Rhode Island from 2008 to 2018. In April 2020, FINRA barred Aggor after he, “consented to the … Continue reading

In January 2020, FINRA fined LPL Financial LLC with a $6.5 million fine regarding supervisory failures. According to the Acceptance, Waiver & Consent (AWC), “LPL failed to establish and maintain a supervisory system, including written procedures, reasonably designed to achieve … Continue reading