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Tag: Unsuitability

Financial Advisor Martin Klein III Subject of $24M Customer Dispute Alleging Government Bonds

Martin A. Klein III (CRD#: 1778613) is a Registered Broker and Investment Advisor with RBC Capital Markets, LLC in Newport Beach, CA. Broker’s Background He entered the securities industry in 1987 and previously worked with Prudential Securities Incorporated; Morgan Stanley DW Inc.; Morgan Stanley & Co.; and J.P Morgan Securities, LLC. Current and Past Allegations […]

Former Financial Advisor Ronald Bucher Subject of $2M Customer Dispute

Ronald Luther Bucher (CRD#: 1804910) was a previously registered broker and investment advisor. Broker’s Background He entered the securities industry in 1988, and previously worked with Glickenhaus & Co.-New Jersey; Dean Witter Reynolds, Inc.; Moore & Schley, Cameron & Co.; Hanifen, Imhoff Securities Corp.; Josephthal & Co., Inc.; Josephthal Lyon & Ross Incorporated; Prudential Securities […]

Financial Advisor Ran Regev is the Subject of a Customer Complaint Involving Investment Loss

Ran Regev (CRD#: 5469190) is a FINRA registered Financial Advisor. Broker’s Background Ran Regev entered the securities industry in 2008. He previously worked with Metlife Securities, Inc. and Sagepoint Financial, Inc., which is now owned by Osaic Wealth, Inc.  Ran Regev is located in Fort Lauderdale, FL. Allegations of Conduct Leading to Investment Loss The […]

Financial Advisor Juan Rascon Subject of Million Dollar Customer Dispute

Juan Manuel Rascon (CRD#:5631144) is a registered broker and investment adviser at Cetera Investment Services, LLC., in Houston, TX. Broker’s Background He entered the securities industry in 2009 and previously worked with Edward Jones; Chase Investment Services Corp.; J.P Morgan Securities LLC; BBVA Compass Investment Solutions, Inc.; and BBVA Securities, Inc. Current and Past Allegations […]

Former Financial Advisor Glennon Cole has 14 FINRA Disclosures

Glennon James Cole (CRD#: 1999588) is a previously registered broker. Broker’s Background He entered the securities industry in 1989. He previously worked with Edward Jones; UBS PaineWebber, Inc.; Summit Brokerage Services, Inc.; Huntleigh Securities Corporation; First Brokerage America, LLC; and most recently Moloney Securities Co., Inc. Current and Past Allegations of Conduct Leading to Investment […]

Financial Advisor Angelo Anello has Four FINRA Disclosures

Angelo Frank Anello (CRD#: 2835091) is a registered broker and investment advisor at LPL Financial LLC in Needham, MA 02494   Broker’s Background He entered the securities industry in 1997 and previously worked with Salomon Smith Barney Inc.; Dreyfus Service Corporation; Quick & Reilly, Inc.; Banc of America Investment Services, Inc.; and Citigroup Global Markets […]

Financial Advisor David McMillen has Five FINRA Disclosures

David Bruce McMillen (CRD#: 1198070) is a registered broker and investment advisor at Capital Securities, L.P in Boulder, CO.   Broker’s Background   He entered the securities industry in 1983, and previously worked with First Investors Corporation; Interfinancial Securities, Inc.; The Equitable Life Assurance Society of the United States; Equico Securities, Inc.; The Lincoln National […]

Financial Advisor Brian Stern subject of $845k Customer Dispute Involving Unsuitable Recommendations

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Brian Campion Stern (CRD#: 3137402) is a registered broker and investment advisor with OSAIC Wealth, Inc. in Rochester, MN.   Broker’s Background He entered the securities industry in 1998 and has previously worked with Transamerica Financial Advisors, Inc.; and Signator Investors, Inc.   Allegations of Misconduct According to publicly available records released by the Financial […]

Financial Advisor Andrew Schell has 20 FINRA Disclosures

Andrew David Schell (CRD#:6536347) is a previously registered broker and investment advisor. Broker’s Background He entered the securities industry in 2015 and previously worked for Merril Lynch, Pierce, Fenner & Smith Incorporated and D.A Davidson & Co. Current and Past Allegations of Conduct Leading to Investment Loss According to publicly available records released by the […]

Broker James Monken Subject of Two Customer Disputes

James Eric Monken (CRD#:5765921) is a registered broker and investment advisor at Morgan Stanley in Clayton, MO. Broker’s Background He entered the securities industry in 2010 and previously worked for Morgan Keegan & Company, Inc. Current and Past Allegations Leading to Investment Loss According to publicly available records released by the Financial Industry Regulatory Authority […]