Meyers Associates, L.P. changed its name in 2016 from “Meyers Associates, L.P.” to “Windsor Street Capital, LP.”
Under the moniker Meyers Associates (CRD# 34171), the firm was known for hiring brokers whose FINRA BrokerCheck reports were riddled with disclosures. According to an InvestmentNews report in 2014, Meyers Associates “stands out as a haven for registered representatives with black marks on their employment histories.”
According to that InvestmentNews report, about 12% of registered securities professionals have some type of disclosure event on their records. The percentage of registered representatives with disclosure events at Meyers Associates was five times higher than the industry average. Additionally, according to the report, of the 63% of the firm’s brokers with disclosure on their BrokerCheck reports, the average amount of disclosures was 4.5 per broker.
The firm’s founder, owner and former chief executive officer, Bruce Meyers (CRD# 1045447) has 19 disclosures on his BrokerCheck report. At the time of publishing of the InvestmentNews report, when he was still CEO, he had 10.
Our firm has posted numerous times regarding Meyers Associates and its brokers in 2016 alone. Some of the brokers include John E. Buonocore (CRD# 2337214), Michael S. Lavolpe (CRD# 5054798), Matthew A. Siliato (CRD# 5062153) and Imtiaz A. Khan (CRD# 4084250).
Windsor Street Capital’s website says the firm is a full-service boutique investment banking firm. Further, the Windsor Street Capital states that it focuses on emerging growth companies and is experienced in raising capital and advising on mergers and acquisitions.
If you have lost money investing with any of the aforementioned brokers and Meyers Associates, L.P. or Windsor Street Capital, LP due to negligence or other misconduct, contact our firm to see how you can try and recover your losses. Our experienced attorneys have recovered millions of dollars on behalf of aggrieved investors. A consultation is free, and you owe us nothing unless we recover.
Silver Law Group represents the interests of investors who have been the victims of investment fraud. If you have questions about your legal rights, please contact Scott Silver of the Silver Law Group for a free consultation at ssilver@silverlaw.com or toll free at (800) 975-4345