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A National Securities Arbitration & Investment Fraud Law Firm

Articles Posted in FINRA Disclosure Events

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William Slone’s 45-year Career Shows 14 FINRA Disclosure Events

Broker William Slone’s most recent complaint alleges unauthorized securities trading. Acting as a securities investment broker since 1969, William Slone faces yet another customer complaint regarding his activities. In November 2015, Slone consented to the sanctions and the entry of the findings that he effected discretionary transactions in the account…

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