Lose money after investing in a GPB Capital Holdings Fund? take action
1.800.931.8452
We can help recover your investment loss. Free consultations, always. CONTACT US

Category First Standard Financial Company

First Standard Financial Broker, Frank Venturelli, Suspended Eleven Months By FINRA For Allegedly Engaging In Excessive Trading

June 27, 2020

Frank Venturelli (CRD # 6403468) was a Financial Advisor at First Standard Financial in Red Bank, New Jersey. Frank Venturelli has been in the securities industry since 2014. After leaving First Standard, Frank Venturelli worked briefly at Arive Capital Markets. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), on June…

Former National Securities Corp. And First Standard Financial Company Broker, Andre Pierre Davis, Barred By FINRA

March 7, 2020

Andre Pierre Davis aka Andre Davis (CRD # 1417097) was a Financial Advisor at Paulson Investment Company (2019-2020), First Standard Financial Company (2015-2019) and National Securities Corp. (2012-2015) in Red Bank, New Jersey. Andre Pierre Davis aka Andre Davis has been in the securities industry since since 2000. Prior to working at the aforementioned brokerage…

Former First Standard Financial Broker, Robert Spiegel, Suspended Four Months By FINRA Over Allegations Of Excessive Trading

January 27, 2020

Robert Spiegel (CRD # 5861656) was a Financial Advisor at First Allied Securities in Staten Island, New York.  Robert Spiegel has been in the securities industry since since 2010 and previously worked at Alexander Capital. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), on January 24, 2020, FINRA sanctioned Robert…

Former First Standard Financial Company Financial Advisor, Andre P. Davis, Has Fourteen Customer Complaints Alleging Various Sales Practice Misconduct

August 1, 2019

Andre P. Davis (CRD # 1417097) was a former Financial Advisor at First Standard Financial Company in Red Bank, NJ.  Andre Davis has been in the securities industry since 2000 and worked at National Securities Corporation, Brookstone Securities, Newbridge Securities Corporation, LH Ross & Company, First Montauk Securities and J.W. Barclay & Co.  He currently…

Now is the time to talk to an investment loss recovery lawyer. We can help recover your investment loss. Free consultations, always.
Main Office - Fort Lauderdale

1250 S. Pine Island Road
Suite 325
Plantation, FL 33324
Phone: (800) 931-8452
(954)-406-1231

Additional Office Locations (by appointment only)
Atlanta

3355 Lenox Road
Suite 7
Atlanta, GA 30326

Indianapolis

13295 N. Illinois St.
Suite 314
Indianapolis, IN 46032

New York City

275 Madison Avenue
Suite 705
New York, NY 10016

Dallas

3102 Maple Ave.
Suite 400
Dallas, TX 75201

Portland

5933 NE Win Sivers Drive
Suite 205
Portland, OR 97220

Denver

7900 E. Union Ave.
Suite 1100
Denver, CO 80237

Naperville

1700 Park Street
Suite 103
Naperville, IL 60563

Seattle

1001 Fourth Ave.
#3200
Seattle, WA 98154