Author: alex

Did you incur investment losses with VFinance Investments Inc.?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving VFinance Investments Inc. located in Boca Raton, Florida related to allegedly failing to execute trades for clients.

VFinance Investments Inc. has been fined by FINRA.

Fortunately, for those investors that incurred losses investing with VFinance Investments Inc. may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with E.S. Financial Services?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving E.S. Financial Services related to allegedly failing to maintain accurate books and records.

E.S. Financial Services has been fined by FINRA.

Fortunately, for those investors that incurred losses investing with E.S. Commercial Services may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with William Marshall?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving William Marshall of Ameriprise Financial Services related to his alleged participation in selling privately issued stock without notifying the brokerage firm. Marshall sold preferred stock in BioChemics.

Marshall has been suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Marshall may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Andrew Yocum?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Andrew Yocum of Summit Brokerage Services and formerly of Morgan Stanley related to his alleged unsuitable invesments.

Yocum has 5 customer complaints against him.

Fortunately, for those investors that incurred losses investing with Yocum may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Daniel Kasbar?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Daniel Kasbar formerly of HD Vest Investment Services and LPL Financial related to his alleged outside business activities.

Kasbar has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Kasbar may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Paul V. Blum?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Paul V. Blum formerly of RBC Capital Markets LLC related to his alleged unauthorized purchase of high-yield bonds.

Blum has been fined and suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Blum may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Christopher F. Veale?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Christopher F. Veale formerly of Legend Securities related to his alleged unsuitable investments, churning, and breach of fiduciary duty.

Veale is currently under investigation by FINRA.

Fortunately, for those investors that incurred losses investing with Veale may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Kevin Patrick Murphy?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Kevin Patrick Murphy formerly of TGP Securities related to his alleged private placement sales.

Murphy has been suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Murphy may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with Eric Kuchel?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Eric Kuchel formerly of LPL Financial LLC related to his alleged unauthorized trading.

Kuchel has 5 customer complaints and a complaint from FINRA against him.

Fortunately, for those investors that incurred losses investing with Kuchel may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.

Author: alex

Did you incur investment losses with David Hannett?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving David Hannett of Invest Financial Corporation related to his alleged unsuitable investments and mishandling account assets for a customer.

Hannett has 2 customer complaints against him.

Fortunately, for those investors that incurred losses investing with Hannett may be able to recover those losses through the FINRA arbitration process.

Under FINRA rules and regulations, Broker-Dealers are responsible for supervising the actions of those advisors registered with their firm, and therefore may be held liable for the actions of their Broker(s).

For a free case evaluation or to discuss any other investment losses, please contact the Securities Law Firm of Menzer & Hill, P.A., at 888-923-9223, or visit us on the web atwww.suemyadvisor.com.