Author: Jeff Erez
Erez Law is currently investigating former Whitehall-Parker Securities, Inc. and Independent Financial Group, LLC broker James Lamont (CRD# 2846228) regarding recommending unsuitable Woodbridge Group of Companies investments. Lamont was registered with Whitehall-Parker Securities, Inc. in San Francisco, California from 2015 … Continue reading
Were you the victim of Triad Advisors LLC broker Mark Robare (CRD# 1057899)? Robare has been registered with Triad Advisors LLC in Houston, Texas since 2003. In September 2014, the Securities and Exchange Commission (SEC) sanctioned Robare to a $50,000 … Continue reading
There are options for clients of former Dawson James Securities, Inc. broker Kevin Barbalance (CRD# 4456476) who suffered investment losses due to unsuitable investment recommendations. Barbalance was registered with Corinthian Partners, L.L.C. in Middletown, New Jersey from 2015 to 2016 … Continue reading
In May 2020, Morgan Stanley agreed to pay a $5 million penalty to settle with the Securities and Exchange (SEC), which charged the brokerage firm with providing misleading information to its clients in regard to trade execution services and transaction … 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
Erez Law is currently investigating National Securities Corporation broker Christopher Ortiz (CRD# 2858626) regarding the suitability of private placements. Ortiz has been registered with National Securities Corporation in Melville, New York since 2004. Private placements are stocks, bonds, or securities … Continue reading
Arbitrage Funds suffered significant declines when the market crashed due to the COVID-19 pandemic (the coronavirus of the winter and spring of 2020) and have now temporarily shut down. Some Arbitrage Funds were forced to temporarily close due to the … Continue reading
Were you the victim of former Woodbury Financial Services, Inc. broker Stephen Fry (CRD# 2928258)? Fry was registered with Woodbury Financial Services, Inc. in Germantown, Tennessee from 2011 to 2019. In December 2019, FINRA barred Fry after he failed to … Continue reading
Former LPL Financial LLC broker Jason Labelle (CRD# 5654529) was suspended by FINRA for selling away from his member firm. Jason Labelle has been registered with LPL Financial LLC in Pittsfield, Massachusetts from 2015 to 2019. In January 2020, Labelle … Continue reading
Erez Law is currently investigating National Securities Corporation broker Michael Burkoff (CRD# 2751980) regarding unsuitable investment recommendations. Burkoff has been registered with National Securities Corporation in New York, New York since 2001. Burkoff has been the subject of four customer … Continue reading