Invest with Aaron Heimowitz

Author: alex

Did you incur investment losses with Aaron Heimowitz?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Aaron Heimowitz formerly of Newport Coast Securities related to his alleged investments without firm authorization. Heimowitz has been fined $15,000 by FINRA.  Fortunately, for those investors that incurred losses investing with Heimowitz may be able to… Read more »

Invest with Russell Macke

Author: alex

Did you incur investment losses with Russell Macke?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Russell Macke formerly of B.B. Graham & Company related to his alleged unsuitable investments and breach of fiduciary duty. Macke has been the subject of at least five customer complaints, two regulatory actions, and two… Read more »

Invest with Robert Horning

Author: alex

Did you incur investment losses with Robert Horning?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Robert Horning of Centaurus Financial, Inc. related to his alleged breach of fiduciary duty and false statements regarding various tenants-in-common (TIC)investments. Horning has eight customer complaints against him.  Fortunately, for those investors that incurred losses investing… Read more »

Invest with Stephen Kipp

Author: alex

Did you incur investment losses with Stephen Kipp?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Stephen Kipp of NFB Financial Group, LLC related to his alleged unsuitable investments and breach of fiduciary duty. Miles has six customer complaints and one regulatory action against him by FINRA.  Fortunately, for those investors that… Read more »

Invest with Joseph Miles

Author: alex

Did you incur investment losses with Joseph Miles?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Joseph Miles of St. Bernard Financial Services, Inc. related to his alleged unsuitable investments and breach of fiduciary duty. Miles has three customer complaints and three judgments or liens against him.  Fortunately, for those investors that incurred losses… Read more »

Invest with William Campbell

Author: alex

Did you incur investment losses with William Campbell?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving William Campbell formerly of Wells Fargo Advisors LLC related to his alleged unauthorized trades for clients. Campbell has been suspended by FINRA.  Fortunately, for those investors that incurred losses investing with Campbell may be able to… Read more »

Invest with William Hardy

Author: alex

Did you incur investment losses with William Hardy?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving William Hardy formerly of NYLife Securities LLC related to his alleged misuse of customer insurance premium funds. Hardy has been barred by FINRA. Fortunately, for those investors that incurred losses investing with Hardy may be… Read more »

Invest with Robert Marks?

Author: alex

Did you incur investment losses with Robert Marks?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Robert Marks of Cape Securities Inc. related to his alleged churning, excessive, and unauthorized trading. Marks has two customer complaints on his record. Fortunately, for those investors that incurred losses investing with Marks may be able to… Read more »

Invest with Tyler Boone Powell?

Author: alex

Did you incur investment losses with Tyler Boone Powell?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving Tyler Boone Powell of Stifel, Niclaus & Co, Inc. related to his alleged unsuitable investment activities without client authorization or authorization from Wells Fargo Advisors’. Powell also has been fined $5,000 and has been… Read more »

Invest with David Garcia Cirilo?

Author: alex

Did you incur investment losses with David Garcia Cirilo?  The Securities Law Firm of Menzer & Hill, P.A. is investigating claims involving David Garcia Cirilo of Morgan Stanley related to his alleged unsuitable investment advice, breach of fiduciary duty and unauthorized transactions. Cirilo currently has five pending customer complaints against him. Fortunately, for those investors that… Read more »