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Category: Landolt Securities

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Financial Advisor Bret Schaefer has Eight Disclosed Customer Complaints

Bret Schaefer (CRD#: 2577117) is a Broker and previously registered Investment Advisor at Landolt Securities, Inc. in Antioch, IL. Broker’s Background He entered the securities industry in 1995 and previously worked for Woodbury Financial Services, Inc.; Landolt Securities, Inc.; Ausdal Financial Partners, Inc.; Linsco/Private Partners, Inc.; Citigroup Global Markets, Inc.; B.C. Ziegler & Company; American […]

Financial Adviser Anthony Liddle Barred By FINRA After Theft Allegations

Anthony (Tony) Liddle (CRD#: 5478479) is a previously registered Broker and previously registered Investment Adviser. Broker’s Background He entered the securities industry in 2008 and previously worked for Landolt Securities, Inc.; Western International Securities, Inc.; and Eliason Financial Group, LLC. Current And Past Allegations Of Conduct Leading To Investment Loss According to publicly available records […]

Financial Advisor Jason Seurer Discloses GWG Holdings L-Bond Complaint

Jason Seurer (CRD#: 2541616) is a registered Broker and Investment Advisor at Landolt Securities, Inc. in Maple Plain, MN. Broker’s Background He entered the securities industry in 1994 and previously worked for The Wealth Protection Group,, LLC; Fetl & Company; and Edward Jones. Current And Past Allegations Of Conduct Leading To Investment Loss According to […]

Financial Advisor Anthony Cottone (Landolt Securities, Inc.) Customer Complaints

Anthony Cottone (CRD#: 4394861) is a previously registered Broker and previously registered Investment Advisor. Broker’s Background He entered the securities industry in 2001 and previously worked for Landolt Securities, Inc.; Financial West Group; MidAmerica Financial Securities, Inc.; AXA Advisors, LLC; Newbridge Securities Corp.; Independent Securities Investors Corp.; Gunnallen Financial, Inc.; Morgan Stanley DW Inc.; and […]