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Prospera Broker John N. Crook Under Investigation After $4.8 Million Complaint Filed

Silver Law Group is investigating Macon, Georgia-based Prospera Financial Services, Inc. (CRD# 10740) broker John N. Crook (CRD# 2715424) after a customer filed a $4.8 million complaint. According to Crook’s FINRA BrokerCheck report, a customer filed a FINRA arbitration against Crook in August 2016 alleging churning and excessive trading, unauthorized…

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Former New York Ridgeway & Conger Broker Philip Brisard Under Investigation

Silver Law Group is investigating former Jericho, New York Ridgeway & Conger, Inc. (CRD# 113055) Philip Brisard (CRD# 2646923) after FINRA permanently barred the broker. According to Brisard’s FINRA BrokerCheck report, FINRA permanently barred Brisard. According to Brisard’s BrokerCheck report, in January 2016 Brisard was named a respondent in a…

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Former LPL Financial Broker Paul E. Dorion Under Investigation After FINRA Bars Him

Silver Law Group is investigating former Vermont-based LPL Financial LLC (CRD# 6413) broker Paul E. Dorion (CRD# 1103701) after FINRA permanently barred him According to Dorion’s FINRA BrokerCheck report, FINRA permanently barred Dorion from acting as a broker or otherwise associating with firms that sell securities to the public after…

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Former New York Woodstock Financial Group Broker Glenn McDowell Under Investigation

Silver Law Group is investigating former New York, New York-based Woodstock Financial Group, Inc. (CRD# 38095) broker Glenn McDowell (CRD# 2748337) after the broker was named in a FINRA complaint alleging unauthorized activity in a customer account. According to McDowell’s FINRA BrokerCheck report, FINRA named McDowell in a complaint in…

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Former Missouri LPL Financial Broker Joseph Likens Under Investigation for Pending Selling Away Complaint

Silver Law Group is investigating former Missouri-based LPL Financial LLC (CRD# 6413) broker Joseph A. Likens (CRD# 3084903) after a customer filed a FINRA arbitration alleging selling away, unsuitable recommendations and misrepresentation. According to Likens’ FINRA BrokerCheck report, Likens has five (5) disclosures.  Most recently, a customer filed a complaint…

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Summit Brokerage Services Broker Keith A. Bradley Under Investigation for Unsuitable Recommendations and Negligence Allegations

Silver Law Group is investigating Houston, Texas-based Summit Brokerage Services, Inc. (CRD# 34643) broker Keith A. Bradley (CRD# 868141) after a customer filed a FINRA arbitration alleging unsuitable recommendations and negligence. According to Bradley’s FINRA BrokerCheck report, a customer filed a FINRA arbitration against Bradley in July 2016 alleging unsuitable investments,…

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Cetera Subsidiary VSR Financial Services Closing; Transferring Brokers to Other Firms in Cetera Network

Cetera Financial Group subsidiary VSR Financial Services, Inc. (CRD# 14503) is winding down and transferring some of its brokers to other Cetera Financial Group broker-dealers. VSR is one of Cetera Financial Group’s (“Cetera”) many independent brokerage firms.  Cetera was acquired by Nicholas “Nick” Schorsch’s RCS Capital in 2014 in an…

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UDF IV Delisted from NASDAQ; Issues Distribution Despite Delisting

United Development Funding IV (“UDF IV”) announced a distribution amidst a continuing SEC investigation and delisting from NASDAQ exchange. On November 8, 2016, United Development Funding (“UDF”) announced that its public real estate investment trust United Development Funding IV’s board of trustees has authorized a cash distribution of $0.08 per…

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Peter Kohli, DMS Advisors and Marshad Capital Group Under Investigation for Allegations of $3.2 Million Fraud

Silver Law Group is investigating SEC allegations against Peter R. Kohli (CRD# 1064334), DMS Advisors, Inc. and Marshad Capital Group, Inc., the parties that allegedly deceived investors into investing $3.2 million in Kohli’s failing mutual fund business. According to the SEC Complaint filed in September 2016, Kohli, a registered representative…

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Former Wells Fargo Broker Under Investigation After FINRA Suspended Him For to Unauthorized Trading Allegations

Silver Law Group is investigating Ameriprise Financial Services, Inc. (CRD# 19616) broker Paul S. Plemenos (CRD# 2193190) after FINRA suspended him over unauthorized trading allegations at his former firm. According to Plemenos’s FINRA BrokerCheck report, FINRA suspended him in July 2016 for executing trades in the accounts of customers without…

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