Category: Unauthorized Trades
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
Were you the victim of former J.J.B. Hilliard, W.L. Lyons, LLC broker Christopher Bennett (CRD# 2510231)? Bennett was registered with J.J.B. Hilliard, W.L. Lyons, LLC in Louisville, Kentucky from 1995 to 2018. In February 2018, a former client of J.J.B. … Continue reading
In October 2019, a former client of Raymond James & Associates, Inc. won an award in a FINRA arbitration for compensatory damages for $2,986,708.96 for losses sustained from investments in the high-risk energy sector. The claim was filed by a … Continue reading
There are options for customers of former Laidlaw & Company financial advisor Patrick Maddren (CRD# 4665903) regarding losses sustained from unauthorized trading, churning and unsuitable investment recommendations. Maddren has been registered with Westpark Capital, Inc. in Fort Lauderdale, Florida since … Continue reading
Were you the victim of former PlanMember Securities Corporation broker Raymond Menna (CRD# 1918097) who is alleged to engage in unauthorized trading, unsuitable investments, and other securities violations? Previously, Menna was registered with PlanMember Securities Corporation in Farmingville, New York … Continue reading
Erez Law is currently investigating former Raymond James & Associates, Inc. financial advisor James Edward Lyons (Eddie Lyons) (CRD# 1020397) regarding unauthorized trading and unsuitable investments in high risk Master Limited Partnerships (MLPs). Lyons was registered with Raymond James & … Continue reading
Erez Law is currently investigating former Stifel, Nicolaus & Company, Incorporated financial advisor Coleman Devlin (CRD# 2317635) regarding discretionary trades in customer accounts, among other securities violations. Devlin was registered with IFS Securities in Atlanta, Georgia from July 2016 to … Continue reading
In January 2018, a former client of Madison Avenue Securities, LLC won a FINRA arbitration for $2,186,492.30 in damages for losses sustained due to excessive trading, unauthorized trading, unsuitable trading, breach of fiduciary duty and failure to supervise. The customer’s … Continue reading