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Erez Law is currently investigating former INVEST Financial Corporation financial advisor Roger Kroeger (CRD# 1526864) regarding embezzlement and money laundering in an elderly client’s account. Kroeger was registered with INVEST Financial Corporation in Ft. Lauderdale, Florida from 1990 to 2017, … Continue reading

Erez Law is currently investigating former Paulson Investment Company LLC financial advisor Ahmed Gheith (CRD# 5783951) regarding fraud, negligent misrepresentations, negligence, and unjust enrichment. Gheith was registered with the following brokerage firms during the past few years: Paulson Investment Company … Continue reading

Erez Law is currently investigating Wells Fargo financial advisor Jeffrey Wilson (CRD# 1161819) regarding unsuitable energy investments. Wilson has been registered with Wells Fargo in Las Cruces, New Mexico since 2014. Over the past few years, oil prices have significantly … Continue reading

Erez Law is currently representing more than 100 investors in Puerto Rico and the mainland U.S. in claims against brokerage firms for losses in Puerto Rico bonds and is ongoing in its investigation of brokerage firms across the United States … Continue reading

Erez Law is currently investigating former UBS Financial Services financial advisor Gerardo Barrera Jr. (CRD# 856204) regarding losses sustained from investments in Puerto Rico bonds. Barrera was registered with UBS Financial Services Incorporated of Puerto Rico in San Juan, Puerto … 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 recently filed a $573,000 FINRA arbitration against RBC Capital Markets, LLC. Their former customers allege that Robert Tansey (CRD# 1222751), who has been a registered representative of RBC Capital Markets, LLC in New York, New York since 2002, … 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

Erez Law is currently investigating former Morgan Stanley financial advisor Guillermo Valladolid (CRD# 4553357) regarding selling away. When a financial advisor sells an investment to a client without his brokerage firm’s permission, the broker is selling investments away from the … 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