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Search Results: Stifel
Results 1-10 of about 49
Date: February 1, 2024
INVESTOR ALERT: Clients of Stifel Nicolaus Financial Advisor Chuck Roberts File $38,100,000 In Broker Fraud Lawsuits. SSEK Structured Product Loss Attorneys Represents Structured Product Investors in Pursuing Damages More than one year, after our investment loss recovery lawyers began investigating ...
Date: August 8, 2023
Shepherd Smith Edwards and Kantas Structured Product Loss Attorneys Investigates Stifel Nicolaus Broker Chuck Roberts Over Structured Note Sales Customers of Miami Beach Financial Advisor File $23.5M in Investor Loss Lawsuits Our seasoned broker fraud attorneys are looking into claims ...
Date: May 15, 2023
Did You Work With Ex-Stifel Nicolaus Broker Joseph Crespi and Suffer Investment Losses? As Broker-Dealer Is Ordered to Pay $3.2M, Investors Struggle To Recoup Their Money Our broker dealer negligence lawyers are speaking to former customers of ex-financial advisor Joseph ...
Date: May 24, 2022
Ex-UBS Financial Services Broker Robert Turner Investigated For Stealing Clients’ Money Shepherd Smith Edwards and Kantas (SSEK Law Firm at investorlawyers.com) is looking into claims of losses involving former UBS Financial Services broker Robert Earl Turner. ... He spent 25 ...
Date: March 9, 2022
Ohio Financial Advisor Andrew Elsoffer Named in Multiple Customer Disputes Andrew Bruce Elsoffer, who Stifel, Nicolaus & Co. fired in 2018, is suspended by the Financial Industry Regulatory Authority (FINRA) for two years, beginning March 7, 2022. The suspension comes ...
Date: April 9, 2020
FINRA Bars Fired Stifel Broker The Financial Industry Regulatory Authority (FINRA) announced that it has permanently barred former Stifel Nicolaus (SF) stockbroker Steven Dale Rodemer. The brokerage firm fired Rodemer earlier this year following allegations that he took funds from ...
Date: October 11, 2019
Four Stifel, Nicolaus & Co. (SF) clients were awarded $1.5M in compensatory damages in their Financial Industry Regulatory Authority (FINRA) arbitration case against the brokerage firm. According to AdvisorHub , the claimants are accusing the broker-dealer of not properly supervising ...
Date: September 11, 2018
The Financial Industry Regulatory Authority (FINRA) has barred three former brokers who failed to take part in the self-regulatory authority’s probe into allegations of wrongdoing. ... Hurtak, formerly of Stifel Nicolaus & Co., was a broker for 39 years. According ...
Date: January 2, 2018
The SEC has filed a case accusing broker Brian Hirsch of illegally receiving over $1M in secret kickbacks in return for giving some customers favored access to “lucrative” initial public offerings. ... Meantime, prosecutors in New Jersey have filed a ...
Date: June 7, 2017
Former Stifel, Nicolaus Broker is Accused of Variable Annuity Violations The Financial Industry Regulatory Authority has suspended an ex-Stifel, Nicolaus (SF) broker for four months over variable annuity transactions that he purportedly inappropriately recommended to certain investors. At the time ...