Author: alex

Did you incur investment losses with Adam Newon?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Adam Newon of National Securities Corporation related to his alleged unsuitable investments and breach of fiduciary duty.

Newon has two pending customer complaints against him.

Fortunately, for those investors that incurred losses investing with Newon 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Richard Crockett?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Richard Crockett of Brookville Capital and RF Lafferty & Company related to his alleged misrepresentations.

Crockett has one customer complaint against him.

Fortunately, for those investors that incurred losses investing with Crockett 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Michael D. Rasmovich?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Michael D. Rasmovich formerly of Waddell & Reed related to his alleged discretionary trades without written authorization.

Rasmovitch has suspended and fined by FINRA.

Fortunately, for those investors that incurred losses investing with Rasmovich 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Nancy Daoud?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Nancy Daoud of Ameriprise Financial Services Inc. related to her alleged unsuitable investments and misrepresentations regarding REITs.

Daoud has 6 customer complaints against her.

Fortunately, for those investors that incurred losses investing with Daoud 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Barclays Capital Inc.?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Barclays Capital Inc. related to allegedly publishing inaccurate index returns.

Barclays has been fined $1 Million by FINRA.

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

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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Jose A. Zapata?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Jose A. Zapata formerly of Argentus Securities related to allegedly lying to customers about their account balances.

Zapata has been barred by FINRA.

Fortunately, for those investors that incurred losses investing with Zapata 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Shadi Barakat?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Shadi Barakat of Aegis Capital related to his alleged unsuitable investments, misrepresentation, unauthorized transactions and breach of fiduciary duty.

Barakat has 1 customer complaint against him.

Fortunately, for those investors that incurred losses investing with Barakat 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Jeffrey Gielau?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Jeffrey Gielau of Fortune Financial Services related to his alleged unsuitable investments.

Gielau has 1 customer complaint and four regulatory sanctions against him.

Fortunately, for those investors that incurred losses investing with Gielau 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 at www.suemyadvisor.com.

Author: alex

Did you incur investment losses with Daniel McPherson?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Daniel McPherson of Cetera Advisors LLC related to his alleged unsuitable investments and breach of fiduciary duty.

McPherson has 2 customer complaints and one regulatory action against him.

Fortunately, for those investors that incurred losses investing with McPherson 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 Lance Shaw?

The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Lance Shaw of International Assets Advisory related to his alleged unauthorized trades.

Shaw currently has 5 customer complaints against him.

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