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Category: Network 1 Financial Securities

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Financial Advisor Michael Molinaro Sanctioned by FINRA

FINRA recently issued a sanction against Network 1 Financial Securities, Inc. and supervisor Michael Molinaro after it was alleged that Network 1 and Michael Molinaro, “did not establish, maintain, and enforce a supervisory system.” Network 1 Financial Securities, Inc., has been a FINRA member since 1983. The company’s main office is in Red Bank, NJ […]

Financial Advisor Kumail Abbas Has Three Customer Complaints

Kumail (Ken) Abbas (CRD#: 5722935) is a registered Broker at Network 1 Financial Securities, Inc., in Hauppauge, NY. Broker’s Background He entered the securities industry in 2009 and previously worked for Laidlaw & Company (UK) Ltd.; Cape Securities, Inc.; C.K. Cooper & Co., Inc.; EKN Financial Services, Inc.; ITradeDirect.com Corp.; and Liberty Partners Financial Services. […]

Financial Advisor Christopher Polinaire Suspended by FINRA

Christopher Polinaire (CRD#: 4330879) is a previously registered Broker. Broker’s Background He entered the securities industry in 2004 and previously worked for Network 1 Financial Securities, Inc.; Arive Capital Markets; First Standard Financial Company, LLC; Rockwell Global Capital, LLC; Salomon Whitney, LLC; CBG Financial Group, Inc.; Dalton Strategic Investment Services, Inc.; First Midwest Securities, Inc.; […]

Charles Malico Suspended by FINRA

Charles Malico (CRD#: 1507282) is a previously registered Broker, who most recently worked at Network 1 Financial Securities. Broker’s Background He entered the securities industry in 1987 and previously worked for Network 1 Financial Securities, Inc.; MidAmerica Financial Services, Inc.; Global Arena Capital Corp; B.B. Graham & Company, Inc.; Liberty Partners Financial Services, LLC; Clark […]

FINRA Initiates Investigation of Christopher Polinaire For Alleged Excessive Trading

Christopher Polinaire (CRD#: 4330879) is a registered Broker at Network 1 Financial Securities, Inc. in Hauppauge, NY. Broker’s Background He entered the securities industry in 2004 and previously worked for Arrive Capital Markets; First Standard Financial Company, LLC; Rockwell Global Capital, LLC; Salomon Whitney, LLC; CBG Financial Group, Inc.; Dalton Strategic Investment Services, Inc.; First […]

Financial Advisor Eric Nicolassy (Network 1 Financial Securities) Customer Complaints

Eric Nicolassy (CRD#: 6244539) is a registered Broker at Network 1 Financial Securities, Inc., in Red Bank, NJ. Broker’s Background He entered the securities industry in 2020 and only has been registered with Network 1 Financial Securities, Inc. Current And Past Allegations Of Conduct Leading To Investment Loss According to publicly available records released by […]

Financial Advisor Patrick Teutonico (Network 1 Financial Securities) Customer Complaints

Patrick Teutonico (CRD # 2875434) is a Financial Advisor at Network 1 Financial Securities Inc. in Seaford, NY. Patrick Teutonico has been in the securities industry since 1997 and previously worked at nine different brokerage firms including FINRA expelled firm Obsidian Financial Group, LLC (2010-2012), QA3 Financial Corp (2010), A & F Financial Securities, Inc. […]

Financial Advisor John Angelone (Network 1 Financial Securities) Customer Complaints

The Wolper Law Firm, P.A. is currently investigating claims against John Angelone, a former Financial Advisor at Network One Financial Securities and Olympus Securities in Weston, Connecticut. Sean Kelly has been in the securities industry since the 1990s and previously worked at three brokerage firms that have since been expelled from the securities industry. According […]