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Articles Posted in Stockbroker Misconduct

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Silver Law Group is Investigating Craig Blattner of Cetera Advisors

Craig Blattner has been in the securities industry for 31 years most recently with Cetera Advisors LLC in Longwood, FL from September 2016 – February 2018. Previous registrations include Investors Capital Corp in Longwood, FL form May 2006 – October 2016.  Mr. Blattner is no longer a registered stockbroker. Blattner…

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Silver Law Group is Investigating Peter Holler of Securities Service Network

We are investigating allegations made by FINRA, the Financial Industry Regulatory Authority, against Peter D. Holler.  FINRA suspended Holler from the securities industry for two years, fined him $10,000, and ordered him to disgorge $49,790 in commissions for selling Woodbridge Investments. FINRA was investigating Holler regarding allegations that he engaged…

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Silver Law Group is Investigating Richard Minichino of Next Financial Group

Richard Minichino has spent 7 years in the securities industry and was most recently registered with Next Financial Group in New York, New York (2016-2018). Previous registrations include Wunderlich Securities, JP Morgan Securities, Chase Investment and David Lerner Associates. According to his BrokerCheck report, Richard Minichino was recently terminated from…

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Silver Law Group is Investigating Vicente Davila of Morgan Stanley

Vicente Davila has spent eight years in the securities industry and was most recently registered with Morgan Stanley in Houston, Texas (2016 – 2018). Previous registrations include Merrill Lynch and Barclays Capital. Publicly available records published by the Financial Industry Regulatory Authority (FINRA) state that former Texas-based Morgan Stanley broker/adviser…

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Silver Law Group is Investigating Alan New of NYLife Securities LLC

Alan New has been registered with NYLife Securities LLC in Fort Wayne, IN from 2004 to August 2016. According to his BrokerCheck Report, New has been the subject of five customer complaints in 2018. April 2018. “Plaintiff alleges that material facts and the risks associated with an unregistered investment purchased…

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Silver Law Group is Investigating Frank Dietrich of Quest Capital Strategies, Inc.

Frank Dietrich was registered with Quest Capital Strategies, Inc. in Lake Forest, California from March 2013 to April 2018, when he was terminated regarding, “Failure to fully disclose outside business activities and sale of unapproved product.”  Dietrich sold Woodbridge notes to multiple investors. Dietrich has been the subject of six…

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Silver Law Group is Investigating David Ridenour of Wells Fargo Clearing Services

David Ridenour has been registered with Wells Fargo in Edmond, Oklahoma since 2012. He previously worked for Morgan Stanley Smith Barney. Financial Industry Regulatory Authority (FINRA) CRD records show that Oklahoma-based Wells Fargo Clearing Services broker/adviser David Ridenour has received resolved or pending customer disputes. According to his BrokerCheck report,…

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FINRA Bars Broker Christopher Hibbard After Separation from Merrill Lynch

Christopher Lee Hibbard (CRD #3176484) is a previously registered broker and investment advisor who has been barred from association with any FINRA-associated broker. His most recent employer was Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD #7691) of Louisville, KY, from 07/16/2010 through 01/26/2018. His previous employers include Morgan Keegan…

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Broker Craig Blattner Suspended By FINRA

Craig Dean Blattner (CRD #1590301) is a previously registered Florida broker and investment advisor. His last employer of record is Cetera Advisors LLC (CRD #10299) of Longwood, FL; his employment was terminated on 2/28/2018. He is not currently registered with any FINRA affiliated firm, and no other recent employment information…

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State of Arkansas Bars Worden Capital’s Yousuf Saljooki For Five Years

Yousuf Saljooki (CRD #5045123, a/k/a “Joe Saljooki”) is a former registered broker with Worden Capital Management LLC (CRD #148366) of Melville, NY. His previous employers include SW Financial (CRD #145012), Legend Securities, Inc. (CRD #44952, expelled) and Tryco Securities, Inc. (CRD #104025), among others. No current employment information is available.…

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