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Advisor William Glaser Under FBI Investigation in Connection With Paul Creager Real Estate Securities

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor William Glaser (Glaser), in September 2017, was accused by FINRA of failing to cooperate in an investigation into the circumstances surrounding Glaser’s termination by National Panning Corporation (National Planning).  National Planning terminated Glaser in June 2017 after…

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Advisor Bruce Barber Barred By FINRA After Engaging in Private Securities Transactions

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Bruce Barber (Barber), in September 2017, was accused by FINRA of engaging in an undisclosed outside business activity by serving as an advisor to the Board of Directors for ABC, LLC (ABC) and being compensated by the…

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Former RBC Advisor Patrick Hudson Sanctioned Over Real Estate Sales

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Patrick Hudson (Hudson), in June 2015, was terminated by his then employer RBC Capital Markets (RBC).  RBC stated that Hudson was terminated due to undisclosed outside business activities and the sale of unapproved products. Thereafter, in August…

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Former Advisor Clark Gardner Charged With Securities Fraud For Stealing $1.3 Million

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Clark Gardner (Gardner), in May 2014, was terminated by his then employer Cetera Advisors LLC (Cetera) subsequent to the initiation of customer arbitration claim alleging unsuitable investments.  Cetera stated that Gardner was terminated due to undisclosed outside…

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Advisor Adam Veron Barred Over Contract Funding Securities Transactions

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Adam Veron (Veron), in February 2017, was terminated by his then employer Questar Capital Corporation (Questar).  Questar stated that Veron was terminated due to undisclosed outside business activities and the sale of unapproved products. Thereafter, in August…

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Advisor Joe Hede Terminated By Paulson Investment Company Over Private Securities Transactions

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Minish “Joe” Hede (Hede), in April 2017, was terminated by his then employer Paulson Investment Company, LLC (Paulson Investment) subsequent to the initiation of customer arbitration claim alleging fraud, negligence and unjust enrichment and for failure to…

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Advisor Peter Butler Terminated Over Private Securities Sales

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Peter Butler (Butler), in January 2017, was terminated by his firm Ameriprise Financial Services, Inc. (Ameriprise) over claims by the firm that Butler “resigned while on suspension pending termination for violation of company policy related to selling…

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FINRA Bars Advisor William Wyman Over Private Securities Transactions

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor William Wyman (Wyman), in January 2017, was barred by FINRA over his failure to respond to FINRA inquiries.  FINRA’s inquiries came after a customer complained about a private securities transaction.  Wyman’s employment with his brokerage firm, Ameriprise…

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Advisor Paul Smith Barred By FINRA Over Haverford Group Securities Sales

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Paul Smith (Smith), in June 2017, was barred by FINRA for failing to provide documents and information concerning private securities transactions. Prior to the FINRA bar Smith was terminated by his firm Bolton Global Capital (Bolton Global)…

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Advisor Walter Starghill Terminated by Lincoln Investment Over Private Securities Transactions

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) advisor Walter Starghill (Starghill), in March 2017, was discharged by brokerage firm Lincoln Investment over allegations of Starghill’s “participation in a private securities transaction in violation of Firm policy.”  In the industry all securities transactions, private investments, loans,…

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