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FINRA Bars Registered Individuals in March 2016 for Failure to Comply with FINRA Rules

According to FINRA Disciplinary actions for March 2016, the following individuals were barred from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules:

NAME FORMER EMPLOYERS
  Raymond Francis Aleksey   Wells Fargo Advisors, LLC
  Merrill Lynch, Pierce, Fenner & Smith, Inc.
  Tiffany Dawn Bee  
  Toby Blackwood   PFS Investments Inc.
  Primerica Financial Services
  Angela K. Blaylock   Merrill Lynch, Pierce, Fenner & Smith Inc.
  Benjamin Jon Brown   State Farm VP Management Corp.
  American Express Financial Advisors, Inc.
  Thomas Anthony Cammarano   LPL Financial LLC
  Associated Securities Corp.
  Brian Andrew Dunn   Robert W. Baird & Co. Inc
  Citigroup Global Markets, Inc.
  Susan Ann Ericson   UBS Financial Services, Inc.
  Jose L. Espinoza   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Craig Steven Ferraro   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Michael W. Finn   Merrill Lynch, Pierce, Fenner & Smith, Inc
  Robert Joseph Gray   Allstate Financial Services, LLC
  Kyle Brockman Greene   J.P. Morgan Securities LLC
  Larry Phillip Harvey, Jr.   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Christopher Hermiz   J.P. Morgan Securities LLC
  Andy Edgar Hernandez   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Steve Everett Hinrichs   State Farm VP Management Corp.
  Richard Allen Isgrig   Northwestern Mutual Investment Services, LLC
  Robert W. Baird & Co. Inc.
  Brian Grayson Kidder   High Point Capital Group, Inc.
  Delaney Equity Group, Inc.
  Matthew Lawrence Lalonde   Buckman, Buckman & Reid, Inc.
  LPL Financial LLC
  Kathleen Mary Loney   LPL Financial LLC
  Mutual Service Corporation
  James Joseph McCarron III   J.P. Turner & Company, LLC
  QA3 Financial Corp.
  Brett James McCollough   Hancock Investment Services, Inc.
  Multi-Financial Securities Corp
  Marco A. Mendoza   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Vincent Joseph Menello, Jr.  
  Jason Scott Miller   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  Darlene Byrd Page   Morgan Stanley
  UVest Financial Services Group, Ic.
  Christopher A. Parris   Nationwide Securities, Inc.
  The Lucian Group
  Benjamin John Pritchett   Wells Fargo Advisors, LLC
  Investors Capital Corp.
  Francis Anthony Jason Punsalan   J.P. Morgan Securities LLC
  Ebony C. Ranson  
  Toni Leynett Robertson   Caprock Securities, Inc.
  Investment Professionals, Inc.
  Marguerite A. Sanders   J.P. Morgan Securities LLC
  Chase Investment Services Corp
  John Larry Simpson   Princor Financial Services Corp
  Avalon Investment & Securities Group, Inc.
  Robert Jay Snider   Thrivent Investment Management Inc.
  Leonard Toth   Pruco Securities, LLC
  Edward Francis Vincent   LPL Financial LLC
  UBS Financial Services Inc.
  Jean Ann Walsh-Josephson   Thrivent Investment Mangement Inc.
  Robin Michelle Wolfgram   Cetera Advisors LLC
  Foothill Securities, Inc.
  Jamie Reid Zimmerman  

Silver Law Group represents investors in securities and investment fraud cases through FINRA arbitration or court.  Our lawyers are admitted to practice in New York and Florida and represent investors nationwide in securities arbitration to help recover investment losses due to stockbroker misconduct.  If you have any questions about how your account has been handled, call to speak with an experienced securities attorney. Most cases handled on a contingent fee basis meaning that you do not pay legal fees unless we are successful.

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