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Articles Posted in Investors Capital

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Cetera Broker Travis Hughes Subject to A Dozen Customer Complaints

According to BrokerCheck records financial advisor Travis Hughes (Hughes), currently employed by Cetera Advisors LLC (Cetera) has been subject to twelve customer complaints and one employment termination for cause during his career.  According to records kept by The Financial Industry Regulatory Authority (FINRA), the many of the customer complaints against…

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Nina Jessee Has Over 20 Customer Complaints Over Alternative and Real Estate Investments

Former Cetera Advisors LLC (Cetera Advisors) advisor Nina Jessee (Jessee) has been subject to at least 21 customer complaints and one employment termination for cause.  According to a BrokerCheck report many of the customer complaints concern variable annuities or alternative investments and direct participation products (DPPs) such as non-traded real…

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Gana LLP Investigates Regulatory and Customer Complaints Against Broker James Ignatowich

The securities lawyers of Gana Weinstein LLP are investigating customer complaints filed with The Financial Industry Regulatory Authority (FINRA) against broker James Ignatowich (Ignatowich).  According to BrokerCheck records Ignatowich has been subject to at least nine customer complaints and one regulatory action.  The customer complaints against Ignatowich allege securities law…

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Broker Investigation: Stephen Dealy’s Alternative Investment Recommendations

The Financial Industry Regulatory Authority (FINRA) sanctioned broker Stephen Dealy (Dealy) concerning allegations that Dealy willfully failed to timely amend his Form U4 to disclose a federal tax lien. FINRA also alleged that Dealy failed to report written complaints he received from his customers to Investors Capital Corp. (ICC). Dealy…

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Customers Complain Broker William Sheehan Sold Unsuitable TIC Investments

The law offices of Gana Weinstein LLP is investigating a series of complaints against broker William Sheehan (Sheehan). According to Sheehan’s BrokerCheck records the broker has been the subject of 7 investor complaints since 2010. That many claims against one broker is rare. According to InvestmentNews, only about 12% of…

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Investment Fraud Update: Patricia Miller Charged in Ponzi Scheme

Our law firm is currently investigating an alleged Ponzi scheme run by financial advisor Patricia S. Miller (Miller) of McMurray, Pennsylvania. According to the United States Attorney Office, on June 6, 2014, Miller was arrested on charges that she orchestrated a massive Ponzi scheme and committed wire fraud. Our attorneys…

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FINRA Fines Investors Capital Corp. Over Failing to Supervise ETF Sales

The Financial Industry Regulatory Authority (FINRA) recently fined brokerage firm Investors Capital Corp. (Investors Capital) $100,000 on allegations that from at least about June 2009 through April 2011, Investors Capital failed to provide prospectuses to customers who purchased exchange traded funds (ETFs). FINRA also alleged that Investors Capital also failed…

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Gana LLP Investigates Broker Patricia Miller’s Ponzi Scheme

The law offices of Gana Weinstein LLP are currently investigating an alleged Ponzi scheme run by financial advisor Patricia S. Miller (Miller) of McMurray, Pennsylvania. According to allegations made against Miller by investors, she convinced customers to invest in purportedly safe mix of securities including corporate and municipal bonds. However,…

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