Category: Options

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

Erez Law recently filed a FINRA arbitration against Raymond James Financial Services on behalf of investors who suffered investment losses due to recommendations from their broker Steven Reznik (CRD #1067199). Reznik was a registered representative of Raymond James Financial Services, … Continue reading

Financial advisors across the country who work at large brokerage firms including Merrill Lynch, Credit Suisse, Morgan Stanley, and UBS, among others, recommended unsuitable Yield Enhancement Strategy (YES strategy) investments that resulted in devastating losses to their clients. Unfortunately, many … Continue reading