Daniel Pita (CRD# 6759879) is a former registered broker last employed with NY Life Securities of Southwest Ranches, FL from 2018 through 2021. He has no other prior registrations with any broker dealer. On December 10, 2021, NY Life filed a Uniform Termination Notice of Securities Industry Registration (Form U5)…
Articles Posted in Stockbroker Misconduct
FINRA Files Complaint Against Michael Venturino After Churning Allegations
Back in 2019, we blogged about broker Michael Venturino (CRD #5872439), the subject of multiple customer disputes totaling $1.6 million. Since then, he has additional disclosures, including two judgements, a bankruptcy discharge, and of course, more customer disputes. At this writing, Michael Venturino is still registered and employed with Spartan…
Western International Securities Is SEC’s First Regulation Best Interest Action
Most investors believe their broker and broker-dealer have their best interests in mind when making recommendations. As we’ve reported many times in this blog, that’s not always the case. The SEC’s newest rule, called Regulation Best Interest, nicknamed Reg BI, is the latest in the effort to make the market…
What Happened To All The Money At GWG Holdings?
We’ve written frequently about GWG Holdings, the now-bankrupt Dallas-based company that bought out life insurance policies from people who needed cash more than their policies. The company sold those policies to other investors who would see a return when the original policyholder passed away. Then the company crashed and burned.…
Scott Silver Selected As A Top Rated Securities Litigation Attorney By Super Lawyers For 2022
Scott Silver, managing partner of Silver Law Group, was selected as a top-rated securities litigation attorney by Super Lawyers for 2022. Scott received the same award in 2021, and was previously selected for Super Lawyers’ Rising Stars list. Scott represents investors nationwide in securities arbitration, investment fraud, and stockbroker misconduct…
FINRA Bars Former Wells Fargo Broker James Seijas After Ponzi Scheme
James Seijas (James Alan Seijas CRD# 2392901) is a former broker and investment advisor whose last known employer was Wells Fargo Clearing Services, LLC (CRD#:19616) of Short Hills, NJ. His former employers include TD Ameritrade, Inc. (CRD#:7870) of Morristown, NJ, Fidelity Brokerage Services LLC (CRD#:7784) of Wayne, NJ, and Barclays…
James Simpson Barred After Allegations Of Selling Away
James Simpson (James Earl Simpson CRD# 424828) is a former registered broker and investment adviser whose last known employer was Equitable Advisors, LLC (CRD#:6627) of Toledo, OH. His previous employer was The Equitable Life Assurance Society Of The United States (CRD#:4039) of New York, NY. He has been in the…
Caroline Mohan, Former LPL Broker, Barred From Industry
Caroline Mohan, aka, Caroline Reyes (CRD# 2429577) is a former registered broker and investment advisor. Her last known employer was LPL Financial LLC (CRD#:6413) of West Palm Beach, FL. She was previously employed as a broker with Invest Financial Corporation (CRD#:12984) of Palm Beach Gardens and Merrill Lynch, Pierce, Fenner…
FINRA Bars Broker Michael Beebe Following OBA
Michael Beebe (Michael Douglas Beebe, CRD# 2231851) is a former broker and investment advisor whose most recent employment was with LPL Financial LLC (CRD# 6413) of Webster, NY. His previous employers include Nationwide Securities, LLC (CRD# 11173) of Elbridge, NY, 1717 Capital Management Company (CRD# 4082) and MML Investors Services,…
FINRA Bars Jesus Rodriguez After Using Client’s Credit Line
Jesus Rodriguez (CRD# 4888685) is a former broker and investment advisor whose last known employer was Morgan Stanley (CRD#:149777) of El Paso, Texas. His former employers are Citigroup Global Markets Inc. (CRD# 7059) and Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD# 7691), also of El Paso. He has been…