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Category Janney Montgomery Scott

Former Janney Montgomery Scott Broker, Charles Euler, Jr., Barred By FINRA For Failing To Cooperate With Investigation Regarding Unsuitable Investment Recommendations

April 19, 2020

Charles Euler (CRD # 202696) was a Financial Advisor at Janney Montgomery Scott in in Radnor, Pennsylvania. Charles Euler has been in the securities industry since 1970 and previously owned his own brokerage firm, Euler & Co. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), on April 13, 2020, FINRA…

Former Janney Montgomery Scott Financial Advisor, John Joseph Cahill, Barred By FINRA For Refusing To Cooperate In FINRA Investigation Into Allegations That He Commingled And/Or Converted Funds Of An Elderly Customer

January 10, 2020

John Joseph Cahill (CRD # 1240551) was a Financial Advisor at Janney Montgomery Scott in Upper Saddle River, NJ.  John Joseph Cahill has been in the securities industry since 1984 and previously worked at Morgan Stanley and Citigroup Global Markets. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), FINRA barred…

Customer Sues Janney Montgomery Scott Financial Advisor Steven Eric Dolgin Alleging Unsuitable Recommendations, Misrepresentations and Unauthorized Trading

February 23, 2019

Steven Eric Dolgin is a Financial Advisor with Janney Montgomery Scott LLC in Melville, NY.  Steven Dolgin has been in the securities industry since 1983 and previously worked at PaineWebber, Smith Barney, Prudential Securities and Wachovia Securities. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), Steven Dolgin currently has a…

INVESTOR ALERT—Janney Montgomery Broker, Christopher Sinkula, Has Ten Customer Complaints, Including Two Pending Complaints

August 10, 2018

The Wolper Law Firm is currently investigating claims against Christopher Sinkula, a Financial Advisor at Janney Montgomery in Stuart, FL.  Christopher Sinkula has been in the securities industry since the 1980s and previously worked at Citigroup and AG Edwards According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), Christopher Sinkula has…

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