Kimberly Kitts (CRD# 2768200) has been with Royal Alliance Associates in Palmer, Massachusetts since 2004. In a regulatory action from 2017, FINRA found that Kitts failed to respond to a FINRA request for information. Kitts also failed to request termination of her earlier suspension within the allotted time. As a…
Securities Arbitration Lawyers Blog
Silver Law Group is Investigating Kevin Graetz of Paulson Investment Company
Kevin Graetz (CRD# 1935982) has been with Paulson Investment Company since 2013. In a regulatory action from 2016, FINRA found that Graetz willfully failed to timely disclose tax liens against him. Graetz owes over $1,000,000 in unpaid taxes to both the IRS and the State of Connecticut. As a result…
Silver Law Group is Investigating Minish Joe Hede of Paulson Investment Company
Minish Joe Hede (CRD# 2389098) has been with Paulson Investment Company since 2013. In a regulatory action from 2017, FINRA found that Hede failed to respond to a FINRA request for information. Hede also failed to request termination of his earlier suspension within the allotted time. As a result, FINRA…
Silver Law Group is Investigating Benjamin Aibel of Wunderlich Securities
Benjamin Aibel (CRD# 1994) has been with the Memphis, Tennessee branch of Wunderlich Securities since 2012. In a regulatory action from 2017, FINRA found that Aibel failed to respond to a FINRA request for information. Aibel also failed to request termination of his earlier suspension within the allotted time. As…
FINRA Bans Broker Michael Alan Siegel After Repeated Complaints and Investigations
FINRA has barred Michael Alan Siegel (CRD# 1950871) from “acting as a broker or otherwise associating with a broker-dealer firm.” Siegel was a previously registered broker and investment advisor and worked in the financial services industry since 1992. His last registered place of employment was with National Securities Corporation of…
Discharged Morgan Stanley Broker Charles Albert Dixon Is Permanently Barred By FINRA
Former broker Charles Albert Dixon, Jr. (CRD# 1660422) has been permanently barred by FINRA after a disciplinary action that was signed and completed on 1/22/2018. He is no longer allowed to work as a broker, associate with another broker or be affiliated with a broker-dealer firm. Dixon was discharged by…
What is the Parking REIT and What Brokerage Firms Sold the Non-traded REIT?
Silver Law Group is investigating the Parking REIT after the company ceased paying its shareholders dividends and distributions. If you’ve invested in the Parking REIT or its affiliates, we may be able to help you recover your money. The Parking REIT’s and its CEO’s Background The Parking REIT was formerly…
The Parking REIT, f/k/a the MVP REIT and MVP REIT II, Under Investigation After It Suspends Dividend Payments
Silver Law Group is investigating the Parking REIT after the public, non-traded REIT suspended cash distributions and stock dividends to its shareholders. If you’ve invested in the Parking REIT or its affiliates, we may be able to help recover some of your money. The Parking REIT Ceases Distributions and Dividends…
Margin Calls: The Dangers of High Risk
If you’ve been investing for any length of time, you’ve probably at least heard of something called a “margin account” or a “margin call.” If you’ve never had this kind of account, don’t open one until you should do some careful research and understand exactly what it is. Even if…
Colorado Investigates California-Based Peter Gerhard Klaas For High Risk Trading, Seeking License Revocation
Peter Gerhard Klaas (CRD# 2381681) is currently registered as a broker and investment advisor, and is employed at El Segundo, CA-based Cetera Advisor Networks since 05/2017. He is registered with Cetera in both Murray, UT and Las Vegas, NV, and licensed in Arizona, Idaho, Nevada and Utah. Klaas was previously…