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Securities Lawyers Blog

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The Parking REIT Update – Investment Loss Recovery Options

The securities lawyers of Gana Weinstein LLP continue to investigate and represent investors who lost money in The Parking REIT (formerly known as the MVP REIT II) a non-traded real estate investment trust (Non-Traded REIT).  The Parking REIT claims to own parking lots and that an investment in the REIT…

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Advisor Arthur Hoffman Barred Over Zima Global Ventures Fraud – Investor Recovery Options

The law offices of Gana Weinstein LLP are currently investigating claims that advisor Arthur Hoffman (Hoffman) has been accused by a financial regulator of engaging in the fraudulent sale of securities among other allegations.  According to records kept by The Financial Industry Regulatory Authority (FINRA) Hoffman was employed by his…

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Michael Burkoff Has Investor Complaint Over Structured Products Sales

The attorneys at Gana Weinstein LLP are investigating BrokerCheck records reports that financial advisor Michael Burkoff (Burkoff), currently employed by National Securities Corporation (National Securities) has been subject to at least four customer complaints and one criminal matter during the course of his career.  According to records kept by The…

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Advisor Robert Gianchiglia Has Customer Complaints Over Private Placements and Alternative Investments

Advisor Robert Gianchiglia (Gianchiglia), currently employed by USA Financial Securities Corporation (USA Financial) has been subject to at least six customer complaints and two criminal complaints during the course of his career.  According to a BrokerCheck report several of the customer complaints concern alternative investments such as direct participation products…

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Advisor Bryan Benson Has Customer Complaint Over Alternative Investments

Advisor Bryan Benson (Benson), formerly employed by Wells Fargo Clearing Services, LLC (Wells Fargo) has been subject to at least one customer complaint and one regulatory action during the course of his career.  According to a BrokerCheck report the customer complaint concerns alternative investments such as direct participation products (DPPs)…

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Gary Barth Has Complaint Over Alternative Investment Sales Practices

Advisor Gary Barth (Barth), currently employed by Ameritas Investment Company, LLC (Ameritas) has been subject to at least four customer complaints during the course of his career.  According to a BrokerCheck report one customer complaint concerns alternative investments such as direct participation products (DPPs) like business development companies (BDCs), non-traded…

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Advisor David Weisberg Suspended Over Excessive Trading Charges

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker David Weisberg (Weisberg), formerly associated with Worden Capital Management LLC (Worden Capital), has been subject to at least four customer complaints and one regulatory action during his career.  Several of those complaints against Weisberg concern allegations of…

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Mark Robare Has Complaint Over Alternative Investment Sales Practices

Advisor Mark Robare (Robare), currently employed by Triad Advisors LLC (Triad Advisors) has been subject to at least one customer complaint and one regulatory matter during the course of his career.  According to a BrokerCheck report one customer complaint concerns alternative investments such as direct participation products (DPPs) like business…

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Carey Watermark Investors 2 Suffer Losses – Investment Attorneys

The securities lawyers of Gana Weinstein LLP are investigating recommendations by brokerage firms for their clients to invest in Carey Watermark Investors 2 aka Watermark Lodging Trust – a non-traded real estate investment trust (non-traded REIT).  Carey Watermark Investors 2 originally sold shares for $10.00.  The fund claims to have…

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Advisor Robert Radli Jr. Alleged to Have Recommended Unsuitable Energy Securities

According to BrokerCheck records financial advisor Robert Radli Jr. (Radli), currently employed by Raymond James & Associates, Inc. (Raymond James), has been subject to at two customer complaints during the course of his career.  According to records kept by The Financial Industry Regulatory Authority (FINRA) Radli has been accused by…

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