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James Pecoraro Sanctioned by Regulator Over Excessive Trading

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker James Pecoraro (Pecoraro), associated with Spartan Capital Securities, LLC (Spartan Capital) has been subject to at least 11 customer complaint, six regulatory actions, and one judgement or liens during his career.  Some of the complaints against Pecoraro…

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Advisor Edward Rudiger Accused of Churning by Multiple Clients

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker Edward Rudiger (Rudiger), currently associated with Reid & Rudiger LLC (Reid & Rudiger), has been subject to at least six customer complaints and one lien or judgement matters during his career.  The two most recent complaints against…

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Trevor Rahn Accused by Multiple Clients of Excessive Trading

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker Trevor Rahn (Rahn), formerly associated with J.P. Morgan Securities LLC (JP Morgan), has been subject to at least four customer complaints, one employment termination for cause, and one judgement or lien during his career.  The majority of…

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Laidlaw’s Peter Viglione Subject to Multiple Churning Complaints

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker Peter Viglione (Viglione) has been subject to at least four customer complaints during his career.  Viglione is currently employed by Laidlaw & Company (UK) Ltd. (Laidlaw).  The majority of the customer complaints against Viglione concern allegations of…

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IFS Securities Advisor Thomas Williams Subject to Churning Claims

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker Thomas Williams (Williams) has been subject to five customer complaints and one termination for cause during his career.  Williams is currently employed by IFS Securities.  Several of the the customer complaints against Williams concern allegations of high…

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Worden Capital Financial Advisor Michael Rosalia Subject to Customer Complaints

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) Worden Capital Management LLC (Worden Capital) broker Michael Rosalia (Rosalia) has been subject to six disclosed customer complaints, eight tax liens or judgements, and two financial disclosures including bankruptcy.  Many of the customer complaints against Rosalia allege churning…

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Larry Boggs Barred by FINRA from Industry for Executing Unauthorized Trades

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA), in January 2018, advisor Larry Boggs (Boggs) was barred indefinitely from the financial industry by FINRA concerning allegations that he engaged in unsuitable investments, excessive trading and unauthorized transactions. According to FINRA, Boggs exercised discretion in customer accounts without…

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The SEC Bars Daniel Fischer for Unsuitable Churning In Customer Accounts

The investment fraud attorneys at Gana Weinstein LLP are currently investigating previously registered broker Daniel Fischer (Fischer). According to BrokerCheck, in January 2018, the Securities Exchange Commission (SEC) barred Fischer from the financial industry claiming that from December 2012 to May 2015, Fischer recommended an unsuitable investment strategy in penny…

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Jorey Bernstein Subject to a Pending Customer Complaint Alleging $3,000,000 in Damages

The securities attorneys at Gana Weinstein LLP are investigating claims against Western International Securities, Inc. (Western International) broker Jorey Bernstein (Bernstein). According to BrokerCheck records, Bernstein has been subject to one pending customer complaint regarding excessive trading. In August 2018, a customer alleged that from 2009 to 2014, Bernstein excessively traded their…

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Anthony Sica Subject to Multiple Regulatory Sanctions and Customer Complaints

According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) broker Anthony Sica (Sica) has been subject to three regulatory actions and nine customer complaints.  Sica is currently registered with Joseph Gunnar & Co. LLC (Joseph Gunnar).  The most recent regulatory action filed against Sica was in January…

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