Close

Articles Posted in broker misconduct

Updated:

Ex-Morgan Stanley Broker Elias Hafen Sentenced To Prison For Investment Fraud

Ex-Morgan Stanley Broker Sentenced To 30 Months Please contact Shepherd Smith Edwards and Kantas (SSEK Law Firm) if Elias Herbert Hafen, a former Morgan Stanley (MS) and Wells Fargo (WFC) broker, was your financial representative when you suffered substantial investment losses that you think may be due to fraud. Hafen…

Updated:

SSEK Investigates Investment Fraud Claims Involving Rogue Broker Anthony Diaz

Barred Broker Named In Almost 50 Customer Complaints  Anthony Diaz, a former Pennsylvania stockbroker and investment advisor who has been the subject of dozens of customer complaints, is finally on trial for fraud. Jury selection is slated to start this week.  Our investor lawyers at Shepherd Smith Edwards and Kantas…

Updated:

SSEK Explores Investor Claims Involving Ex-Cetera Advisors Broker Stephen Carver

Former LifeMark Securities Broker Gets Banned By FINRA  If you are an investor who suffered losses while Stephen Carver handled your investments and wish to file an investor claim, our broker misconduct attorneys at Shepherd Smith Edwards and Kantas (SSEK Law Firm) want to talk to you.  Carver, who most…

Updated:

Shepherd Smith Edwards and Kantas Investigates Claims Involving Ex-Commonwealth Financial Network Broker Gerald Eaton

SSEK Investigating Ex-Commonwealth Financial Network Broker SSEK Law Firm is meeting with investors who suffered losses while working with former Commonwealth Financial Network broker, Gerald Allan Eaton, or another financial representative from the firm.  Eaton was recently barred by the Financial Industry Regulatory Authority (FINRA) in the wake of allegations…

Updated:

Shepherd Smith Edwards and Kantas Investigates Claims Involving 1 Global Capital Investments

SSEK Investigate Investment Fraud Claims Made Against 1 Global Capital If you are someone who invested in 1 Global Capital notes at the recommendation of your broker or financial advisor, you may have grounds for filing an investment fraud claim. 1 Global is accused of operating a $322M scam and…

Updated:

Shepherd Smith Edwards and Kantas Investigates Investor Claims Involving Capital Financial Investments and Ex- Broker Sean Kelly

SSEK Investigates Capital Financial Investments And Ex-Broker Sean Kelly Over Investor Claims At the heart of recent investor claims against Capital Financial are allegations against one of its ex-brokers, Sean Kelly.  Sean Kelly was accused last year by the US Securities and Exchange Commission (SEC) of defrauding a dozen investors.…

Updated:

Shepherd Smith Edwards & Kantas Investigates Ex-Raymond James & Associates Advisor Stuart Nichols

SSEK Investigating Ex-Raymond James Advisor, Stuart Nichols  Another former Raymond James advisor has gotten into trouble over fraud allegations. The Financial Industry Regulatory Authority (FINRA) recently barred Stuart Nichols, a former broker with the firm, after he failed to participate in the self-regulatory authority’s probe into churning allegations made against…

Updated:

Three Ex-Morgan Stanley Brokers Accused of Broker Misconduct

Misconduct Accusations Against Ex-Morgan Stanley Brokers Broker Misconduct Case #1: John Tillotson The Financial Industry Regulatory Authority (FINRA) has suspended ex-Morgan Stanley broker, John Tillotson, for 15 days and ordered him to pay a $5K fine after finding that he impersonated five clients during phone calls to a mutual fund…

Contact Us
Live Chat