The attorneys at Gana Weinstein LLP have reviewed BrokerCheck records reports that broker Erik Drewes (Drewes), currently employed by American Capital Partners LLC, has been subject to at least three customer complaints during his career. According to records kept by The Financial Industry Regulatory Authority (FINRA), Drewes’s customer complaints allege…
March 09, 2016
Updated:
March 09, 2016
The securities fraud lawyers of Gana Weinstein LLP are investigating a regulatory complaint (Disciplinary No. 2015043159501) filed with The Financial Industry Regulatory Authority’s (FINRA) against broker Kevin Murphy (Murphy). FINRA alleged that in or about November 2013, Murphy sold $1.2 million of shares and warrants in a private placement to…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
Kevin Murphy ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
Private Placement ,
TGP Securities
March 07, 2016
Updated:
March 07, 2016
The securities fraud lawyers of Gana Weinstein LLP are investigating a regulatory complaint (Disciplinary No. 1013038289101) filed with The Financial Industry Regulatory Authority’s (FINRA) against broker James Nixon (Nixon). FINRA alleged that Nixon failed to provide prior written notice to Bridge Capital Associates, Inc. (Bridge Capital), his then employing brokerage…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
Bridge Capital Associates ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
Failure to Supervise ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
James Nixon ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
promissory notes ,
Source Capital Group
March 07, 2016
Updated:
March 07, 2016
The securities fraud lawyers of Gana Weinstein LLP are investigating the regulatory action filed (Disciplinary Action No. 2014043025701) by The Financial Industry Regulatory Authority’s (FINRA) against broker Carlos Benavidez Jr (Benavidez). According to the allegations, between January 2013 and January 2015, Benavidez exercised discretion in 80 customer accounts without obtaining…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
california securities fraud attorney ,
california securities lawyer ,
Carlos Benavidez ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
International Assets Advisory ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
suitable ,
Waddell & Reed
March 07, 2016
Updated:
March 07, 2016
The securities fraud lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority’s (FINRA) against broker Paul Blum (Blum). According to BrokerCheck records Blum has been the subject of at least eight customer complaints three of which have been filed since 2015. The customer…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
excessive trading ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield bond funds ,
high yield bonds ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
Paul Blum ,
RBC ,
RBC Capital Markets ,
unsuitable investments
The investment attorneys of Gana Weinstein LLP are investigating regulatory complaints filed by The Financial Industry Regulatory Authority’s (FINRA) against brokerage firm Finance 500, Inc. (Finance 500) and its employees including William Watson, Robert Hicks, Geoffrey Schiffrin, Paul Savage (Disciplinary Proceedings Nos. 2013038091902, 2013036837802). The complaints largely focus on allegations…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
Finance 500 ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
Geoffrey Schiffrin ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
Low-Priced Securities ,
Paul Savage ,
Penny Stocks ,
Robert Hicks ,
William Watson
The securities lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against broker Marcious Dickerson (Dickerson). According to BrokerCheck records Dickerson has been the subject of 3 customer complaints. The customer complaints against Dickerson allege securities law violations that including unsuitable investments,…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
breach of fiduciary duty ,
california securities fraud attorney ,
california securities lawyer ,
Centaurus Financial ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
Marcious Dickerson ,
misrepresentations ,
real estate investment trusts ,
REITs ,
unsuitable investments
The securities fraud lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority’s (FINRA) against broker John Fenimore (Fenimore). According to BrokerCheck records Fenimore has been the subject of at least two customer complaints. The customer complaints against Fenimore allege a number of securities…
Tagged:
Aegis Capital ,
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Churning ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
excessive trading ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
John Fenimore ,
Joseph Stone Capital ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
unsuitable investments
The securities lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against broker Kyle Harrington (Harrington). According to BrokerCheck records Harrington has been subject to 6 customer complaints, one regulatory action, one employment separation, and one financial disclosure. The customer complaints against…
Tagged:
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
Bannockburn Partners ,
breach of fiduciary duty ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
First Allied Securities ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
Kyle Harrington ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
misrepresentations ,
National Securities Corporation ,
negligence
The securities lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against broker Nancy Daoud (Daoud). According to BrokerCheck records Daoud is subject to 6 customer complaints. The customer complaints against Daoud allege securities law violations that including unsuitable investments and misrepresentations…
Tagged:
Ameriprise Financial Services ,
arbitration attorney ,
arbitration attorney California ,
arbitration attorneys ,
arbitration lawyer ,
arbitration lawyers ,
attorney fraud securities ,
attorney investment fraud ,
attorney securities ,
attorneys investment fraud ,
attorneys securities ,
BDC ,
business development companies ,
california securities fraud attorney ,
california securities lawyer ,
chicago securities attorney ,
chicago securities lawyer ,
Cincinnati securities fraud attorney ,
Cincinnati stockbroker fraud attorney ,
Cleveland investment fraud attorney ,
Cleveland securities fraud attorney ,
Cleveland stockbroker fraud ,
Cleveland stockbroker fraud attorney ,
Columbus investment fraud attorney ,
Columbus investment fraud lawyer ,
Columbus securities fraud attorney ,
Columbus stockbroker fraud attorney ,
Columbus stockbroker fraud lawyer ,
dallas securities attorney ,
dallas securities lawyer ,
denver investment fraud lawyer ,
experienced investment fraud ,
experienced investment fraud attorney ,
FINRA Arbitration Lawyer ,
finra arbitration lawyers ,
FINRA attorney ,
finra attorneys ,
FINRA lawyer ,
finra lawyers ,
florida securities attorney ,
florida securities fraud ,
florida securities fraud attorney ,
florida securities fraud lawyer ,
fraud investment ,
fraud investment lawyer ,
fraud investments ,
fraud lawyer new securities York ,
fraud lawyer securities ,
fraud securities settlement ,
high yield investment fraud ,
illinois securities attorney ,
illinois securities fraud attorney ,
illinois securities fraud lawyer ,
illinois securities lawyer ,
investment advisor attorney ,
investment advisor fraud ,
investment arbitration ,
Investment Attorney ,
investment attorneys ,
investment fraud ,
investment fraud attorney ,
investment fraud attorney Denver ,
investment fraud attorneys ,
investment fraud case ,
investment fraud class action ,
investment fraud defense ,
investment fraud help ,
investment fraud law firm ,
investment fraud lawyer ,
investment fraud lawyer Denver ,
investment fraud lawyers ,
investment fraud recovery ,
investment fraud schemes ,
investment frauds ,
investment lawyer ,
investment lawyers ,
investment management attorney ,
investment management lawyer ,
investments fraud ,
lawyer securities ,
lawyers securities ,
lawyers securities law ,
misrepresentations ,
Nancy Daoud ,
non-traded REIT ,
real estate investment trusts ,
unsuitable investments