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Securities Arbitration Lawyers Blog

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FINRA Bars Broker John Maccoll After Fraud Allegations

Former UBS broker John Maccoll (CRD #839441) has been indefinitely barred from affiliation with any FINRA member in any capacity as of 07/02/2018. His most recent employer was UBS Financial Services Inc. (CRD #8174) of Birmingham, MI. Previously, he was employed with Morgan Stanley DW Inc. (CRD #7556) of Purchase,…

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FINRA Bars Gregory LeVine For Failure To Respond

FINRA has barred former registered broker Gregory Alan LeVine (CRD #2401300) indefinitely on 04/09/2018, after he failed to respond to a request for information. LeVine is currently not registered with any FINRA member. His last employer was First Allied Advisory Services, (CRD #32444) of Fort Lauderdale, FL, where he is…

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Colorado Investigates California-Based Peter Klaas For High Risk Trading, Seeking License Revocation

Peter Gerhard Klaas (CRD #2381681) is a former broker and investment advisor, and was employed at El Segundo, CA-based Cetera Advisor Networks since 05/2017. Klaas was previously employed with Allegis Investment Services (05/2014-03/2017,) Signator Financial Services (04/2011-06/2014), and LPL Financial (09-2007-05/2011.) No current employment information is available. The Colorado Division…

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Charles Kenahan

Broker Charles Ernest Kenahan (CRD #1351974) is a broker with Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD #7691) of Boston, MA, registered since 12/7/2007. Previous employers include Morgan Stanley & Co., Incorporated (CRD #8209) and Morgan Stanley DW Inc. (CRD #7556) of Boston, MA, Smith Barney Inc. (CRD #7059)…

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FINRA Suspends Broker Brian Hussey Following Allegations Of Unsuitable Recommendations

Brian John Hussey, Jr., (CRD #4640067) is a registered broker and investment advisor who is currently suspended by FINRA. His last (and only employer) is Ameriprise Financial Services, Inc. (CRD #6363) of Tampa, FL. He has been in the industry since 2008. Hussey’s suspension stems from a customer complaint on…

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Investment Fraud Attorneys for American Finance Trust, Inc. (AFIN) Losses

  Silver Law Group is investigating claims on behalf of investors who purchased American Finance Trust, Inc. (Nasdaq: AFIN) – a real estate investment trust (REIT) sponsored by AR Global with a focus on the management and acquisition of a service-focused tenant portfolio. AFIN REIT LOSSES? According to a report…

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Securities Arbitration Lawyers Investigate American Finance REIT After it Drops 40%

http://www.investmentnews.com/article/20180730/FREE/180739993/schorsch-reit-listing-a-billion-dollar-disaster-for-investors As many brokers and other investment professionals know, investing in a REIT, or Real Estate Investment Trust, is something that’s best left to experienced, sophisticated investors. There’s a reason for that, and some recent activities have proven, once again, that illiquid REITs are definitely not for amateurs. There are…

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1st Global Capital Bankruptcy Affects Investors in Knoxville, TN

Do you live in Knoxville, Tennessee? Have you invested or lost money with 1st Global Capital? 1st Global Capital has recently filed for Chapter 11 Bankruptcy after investigations alleging sales of unregistered securities, sales of securities by unregistered brokers, and other acts of fraud in connection with the sales of…

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Silver Law Group Files a FINRA Arbitration Claim Against Centaurus Financial Concerning Unsuitable Recommendations by a Broker

Silver Law Group has filed a FINRA arbitration claim against Centaurus Financial, Inc. for unsuitable investment recommendations. The securities arbitration claim alleges the Claimants are both U.S. military veterans who entrusted their life savings to the advisor in 2008 when she was employed by J.P. Turner & Company. They transferred…

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Silver Law Group Wins $1.5 Million Securities Arbitration Award for Unsuitable Private Placement

Our firm has won a $1.5 million award against a Texas-based brokerage firm that sold private placements in an oil and gas business venture to our client. The award included a significant million dollars in punitive damages. Silver Law Group continues to represent other investors in failed private placements or…

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