Close

A National Securities Arbitration & Investment Fraud Law Firm

Articles Posted in Stockbroker Misconduct

Updated:

Former Broker Peter Orlando Accused Of Improperly Obtaining Control Of Client’s Affairs

Peter Orlando (CRD #1142715) is a former registered broker, last employed with SCF Securities, Inc. (CRD #47275) of Fall River, MA. Previous employers include MetLife Securities (CRD #14251), Morgan Stanley (CRD #149777 and #8209), and Investors Capital Group (CRD #30613) He has been in the industry since 1983. His current…

Updated:

FINRA Bars Broker John Greg Schmidt After Misappropriation Allegations

John Greg Schmidt (CRD #708094) is a former registered stockbroker and investment advisor whose last known employer was Wells Fargo Advisors Financial Network, LLC (CRD #11025) in Dayton, OH. He is also known as “Greg Schmidt” or “John Gregory Schmidt.” His previous employers include Stifel, Nicolaus & Company, Incorporated (CRD…

Updated:

FINRA Permanently Bars Kimberly Pine Kitts After Allegations

Kimberly Pine Kitts (CRD #2768200) is a previously registered broker and investment advisor, last employed with Royal Alliance Associates Inc., (CRD #23131) from 2004 through 2017. In the industry since 1993, she was previously employed with ING Financial Partners, Inc. (CRD #2882) in Des Moines, IA, and Forum Fund Services,…

Updated:

Jeffrey Hawley and Wells Fargo

A current client dispute relating to Jeffrey Hawley (CRD #1131302) has been filed against Wells Fargo.  Hawley is a registered broker currently with Wells Fargo Clearing Services, LLC (CRD #19616). Hawley is also a registered investment advisor with the same company. The customer dispute centers on Puerto Rican bonds, which…

Updated:

Broker Adam Goodman Subject of FINRA Arbitration Claims

Adam Goodman (CRD #2263780) is a currently registered broker and investment advisor employed by Stoever, Glass & Company Inc. (CRD #7031) of Boca Raton, FL. His previous employers include Herbert J. Sims & Co. Inc. (CRD #3420) and Wien Securities Corp. (CRD #10467.) He has been in the industry since…

Updated:

Broker Lee Robert Donais Subject Of $200K Dispute

Lee Robert Donais (CRD #2347440) was a registered broker with SCF Securities, Inc. (CRD #47275) of Lighthouse Point, FL, since 2012 through May 2018. His previous employers include Brookstone Securities, Inc. (CRD #13366), brokersXpress LLC (CRD #127081, now defunct), and LPL Financial Corporation (CRD #6413), also of Lighthouse Point, Florida.…

Updated:

Keith D’Agostino

Broker Keith Michael D’Agostino (CRD #2837860, also spelled “Dagostino”) is currently registered with Aegis Capital Corporation (CRD #15007) in Melville, NY since 2014.  He has been in financial services since 2002. D’Agostino’s most recent complaint was filed on May 11, 2017, with the client alleging “poor performance.” The client requested…

Updated:

FINRA Examines Claim Against Aegis Broker James Mariani For Negligence

James J. Mariani (CRD #2932631) is a currently registered broker with Aegis Capital Corp. (CRD #15007) of Bayside, New York. He has been with Aegis for less than one year. His previous employers include: National Securities Corporation (CRD #7569) of Mineola, NY First Montauk Securities Corp. (CRD #13755) of Port…

Updated:

Broker David Schmerber Subject of Customer Dispute

David Schmerber (CRD #2093918) is a currently registered broker and investment advisor with Cetera Advisors of Centerville, OH. He has been in the industry since 1990. His previous employers include: LPL Financial LLC (CRD #6413) Smith Barney Inc. (CRD #7059) Lehman Brothers Inc. (CRD #7506) Schmerber’s brokerage firm, LPL Financial,…

Updated:

Former Broker James Pettit Barred By FINRA

Former broker James Albert Pettit (CRD #733916), formerly of Ameriprise Financial Services, Inc. (CRD #6363), was barred by FINRA on 3/26/2018. This is the result of failing to comply with an arbitration award, and providing proof of the compliance. The bar is indefinite, and in all capacities until the award…

Contact Us
Start Chat