Author: alex

Did you incur investment losses with Evaughn Branham-Ferrero?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Evaughn Branham-Ferrero of JP Morgan Securities related to his alleged unsuitable investments and misrepresentation.

Branham-Ferrero has one customer complaint and one currently pending against him.

Fortunately, for those investors that incurred losses investing with Branham-Ferrero 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 Donald Warner?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Kevin Donald Warner formerly of Questar Capital for allegedly misappropriating client investment funds.

Warner has been barred FINRA.

Fortunately, for those investors that incurred losses investing with Warner 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 Timothy Steven Dembski?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Timothy Steven Dembski formerly of Mid Atlantic Capital Corporation related to his alleged fraudulent omissions and misrepresentations.

Dembski has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Dembski 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 Jacob T. Turner?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Jacob T. Turner of Cambridge Investment Research related to his alleged unsuitable investments.

Turner has been fined and suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Turner 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 Michael J. Mularski?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Michael J. Mularski of Wells Fargo Advisors LLC related to his alleged unauthorized trading.

Mularski has been fined and suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Mularski 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 James W. Anderson?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving James W. Anderson of WFG Investments related to his alleged failure to supervise.

Anderson has been fined and suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Anderson 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 Sheldon Harber?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Sheldon Harber of Cambridge Investment Research Inc. related to his alleged unauthorized private securities transactions.

Harber has been fined and suspended by FINRA.

Fortunately, for those investors that incurred losses investing with Harber 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 Robert J. Cross?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Robert J. Cross formerly of Allstate Financial Services LLC related to his alleged outside business activities.

Cross has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Cross 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 Michael B. Winegar?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Michael B. Winegar formerly of Wedbush Securities related to his alleged conversion of client funds.

Winegar has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Winegar 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 Joseph G. Mahalick?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Joseph G. Mahalick formerly of Newport Coast Securities related to his alleged misrepresentations.

Mahalick has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Mahalick 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.