Stock Market Fraud Law Firm are Investigating Former Broker Norman R. Sicard, Jr.
The securities fraud attorneys at Stock Market Fraud Law Firm are investigating former Broker Dealer Financial Services Corp. registered representative Norman R. Sicard, Jr. most recently of Orlando, Florida. According to FINRA’s Broker Check, Mr. Sicard has a pending customer complaint seeking to recover in excess of one million dollars. Mr. Sicard has been employed in the securities […]
Read MoreThe attorneys at Stock Market Fraud Law Firm are Investigating Possible Claims Against Former Investors Capital Corp. Broker Don E. Ingram
The securities litigation attorneys at Stock Market Fraud Law Firm are currently investigating a possible Financial Industry Regulatory Authority (FINRA) arbitration claim against former Investors Capital Corp. (ICC) registered representative Donnie Eugene Ingram. Mr. Ingram was employed with ICC from February 1997 to July 2016 and operates Ingram Financial Group in Winter Haven, Florida. According to FINRA […]
Read MoreColling Gilbert Wright is Investigating and Pursuing FINRA Claims Against Lawson Financial Corporation
The securities arbitration attorneys at Stock Market Fraud Law Firm currently represent clients of Lawson Financial Corporation who were sold municipal revenue bonds that are subject of a recent Financial Industry Regulatory Authority (FINRA) disciplinary proceeding. In May 2016, FINRA filed disciplinary action (#2014043854401) against Lawson Financial Corporation (LFC) and its CEO and Chief Compliance Officer Robert Warren Lawson (CRD #501167) […]
Read MoreInvestigation: Reynold “Ren” Frank Vaughan III, broker at Salomon Whitney LLC
The law offices of Colling Gilbert Wright and Carter is investigating a potential FINRA arbitration claim against Salomon Whitney Broker Reynold “Ren” Frank Vaughan III. According to FINRA’s Broker Check, Mr. Vaughn’s record reflects multiple customer complaints alleging unauthorized trading, excess commissions, failure to follow instructions, suitability, misrepresentation, churning, and breach of fiduciary duty. His record also reflects a censor and bar from […]
Read MoreInvestigation: Shawn E. Burns, broker at Salomon Whitney LLC
The law offices of Colling Gilbert Wright and Carter is investigating and in the process of filing a FINRA arbitration claim against Salomon Whitney Broker Shawn E. Burns. According to FINRA’s Broker Check, Mr. Burns’ record reflects multiple customer complaints alleging unauthorized trading, failure to follow instructions, suitability, misrepresentation, fraud, churning, and breach of fiduciary duty. His record also reflects […]
Read MoreINVESTIGATIONS – NON-TRADED REITS
Stock Market Fraud Law Firm is Currently Investigating the Sale of Non-Traded REITs by LPL, VSR, Invest Financial Corp., Money Concepts Capital Corp. and other regional brokerage firms. Non-traded Real Estate Investment Trusts (REITS) were marketed as an alternative to traditional income generating investments, such as bonds and CD’s that have seen their returns decline over […]
Read MoreRECENTLY FILED – MONEY CONCEPTS
Colling Gilbert Wright have recently filed a FINRA arbitration claim on behalf of an investorwho purchased alternative investments and a small cap gold exploration stock through Money Concepts Capital Corp. Our firm has recently filed a Financial Industry Regulatory Authority (FINRA)arbitration claim on behalf of an investor who purchased alternative investments and a small cap […]
Read MoreINVESTIGATIONS – PUERTO RICO BOND FUNDS
Puerto Rico Closed-End Bond Funds: UBS is a financial services company that enjoys a strong presence in major markets throughout the world. Through the recommendations of its affiliate, UBS Financial Services Incorporated of Puerto Rico, this globally trusted company allegedly encouraged clients to take concentrated positions in closed-end Puerto Rican municipal bond funds. Now, thousands […]
Read MoreRECENTLY FILED – FIFTH THIRD UIT
Colling Gilbert Wright have recently filed a FINRA arbitration claim on behalf of an investor who purchased the First Trust Municipal Income Plus Closed-End Portfolio through Fifth Third Securities, Inc. Our firm has recently filed a Financial Industry Regulatory Authority (FINRA)arbitration claim on behalf of an investor who purchased shares of the First Trust Municipal […]
Read MoreRECENTLY FILED – VSR ALTERNATIVE INVESTMENTS
Colling Gilbert Wright have recently filed a FINRA arbitration claim on behalf of investors who purchased alternative investments through VSRFinancial Services. We have recently filed a Financial Industry Regulatory Authority (FINRA) arbitration claim against VSR Financial Services (VSR), a large regional brokerage firm headquartered in Overland Park, Kansas. VSR is a full-service securities broker/dealer founded […]
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