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Articles Posted in Cetera Advisors

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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,…

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Christopher Robert Hickman, formerly of Cetera Advisors, LLC.

FINRA suspended Christopher Robert Hickman in June of 2017 for six months. This suspension is a result of Hickman’s violations of NASD Rule 2310, and FINRA Rules 2111 and 2010, regarding the unsuitable trading of Unit Investment Trusts, or “UITs.” Hickman neither denied nor confirmed the findings, and consented to…

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Silver Law Group Files Securities Arbitration Claim Relating to California-based Cetera/Investors Capital Corp Broker Daniel B. Vazquez

Our firm has filed a complaint against Irvine, California-based Cetera Advisors (CRD# 10299) relating to broker Daniel B. Vazquez Sr. (CRD# 3141463) after FINRA permanently barred Vazquez. According to Vazquez’s FINRA BrokerCheck report, FINRA permanently barred him from acting as a broker or otherwise associating with firms that sell securities…

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Have You Suffered Financial Losses with Bruce Sabourin?

Formerly of Cetera Advisors, you may not be the only one who has suffered. Investment broker Bruce Michael Sabourin (CRD #2556826), most recently with Cetera Advisors, once again has a FINRA reported disclosure. Sabourin is now permanently barred from acting as a broker or otherwise associating with firms that sell…

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