Articles Posted in Firm Investigations

Former Financial Advisor Eric Vici Barred from the Securities Industry by Finra – Melbourne, Florida
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has barred stockbroker Eric Vici. from the securities industry. Mr. Vici was expelled from the brokerage industry for refusing to cooperate with a FINRA investigation that originated from a complaint made to FINRA by the executor of a customer’s estate about his handling of the customer’s funds. Mr. Vici…

Continue reading ›
Finra Files Enforcement Action Against Broker Adam Belardino, Formerly of Mml Investors Services, Llc – Westchester County, New York
Iorio Law PLLC

The Financial Industry Regulatory Authority’s Department of Enforcement has filed a disciplinary proceeding complaint against former broker Adam Belardino. The complaint alleges that Mr. Belardino failed to cooperate with a FINRA investigation, which was initiated in Aril 2019 after Mr. Belardino’ s employment was terminated by MML Investors Services, LLC and disclosed (through a Form…

Continue reading ›
Former Morgan Stanley Broker, Constantinos Maniatis, Suspended by Finra – Dallas, Texas
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has suspended financial advisor Constantinos Maniatis from the securities industry for 30 days. Mr. Maniatis consented to the suspension after FINRA alleged that he engaged in discretionary trading without written authorization in seven customer accounts between May 4, 2018, and February 27, 2019. FINRA also fined Mr. Maniatis $5,000.…

Continue reading ›
Another Joseph Stone Capital L.l.c. Broker in Trouble with Regulators: Financial Advisor David Martirosian Barred by Finra – New York
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has barred stockbroker David Martirosian from the securities industry. Mr. Martirosian was expelled from the brokerage industry for refusing to cooperate with a FINRA investigation into potentially unsuitable and excessive trading and his potential participation in private securities transactions while associated with Joseph Stone Capital L.L.C. (“Joseph Stone Capital”).…

Continue reading ›
Tampa Broker, Fred Rock, Formerly of Pruco Securities Llc, Suspended by Finra
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has suspended stockbroker Frederick Rock from the securities industry for five months and ordered him to pay a $5,000 fine. FINRA sanctioned Mr. Rock because he solicited clients to purchase $409,200 worth of securities that were not approved by his firm, Pruco Securities LLC. Mr. Rock was a financial…

Continue reading ›
Former Lpl Financial Llc Broker Elias Hakimian, Suspended by Finra – Costa Mesa, California
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has suspended financial advisor Elias Hakimian from the securities industry for three months. Mr. Hakimian consented to the suspension after FINRA alleged that he borrowed $120,000 from a customer without notice to or obtaining written pre-approval from his employing brokerage firm, LPL Financial LLC, in violation of FINRA Rules…

Continue reading ›
Finra Files Enforcement Action Against Former Joseph Stone Capital, Llc. Broker Abdul Rahmani
Iorio Law PLLC

**Update: November 8, 2021** On April 15, 2021, FINRA’s Department of Enforcement filed disciplinary proceeding No. 2019063626703 against former Joseph Stone Capital broker Abdul Rahmani. On October 28, 2021, Mr. Rahmani submitted an Offer of Settlement to FINRA’s Department of Enforcement. On November 2, 2021, FINRA’s Department of Enforcement and the National Adjudicatory Council (NAC),…

Continue reading ›
Former Financial Advisor Michael Dellaporta, Jr. Barred from the Securities Industry by Finra – Fort Lauderdale, Florida
Iorio Law PLLC

The Financial Industry Regulatory Authority (“FINRA”) has barred stockbroker Michael Dellaporta, Jr. from the securities industry. Mr. Dellaporta was expelled from the brokerage industry for refusing to cooperate with a FINRA investigation into an outside business activity. Mr. Dellaporta, who was a broker for over forty years, most recently worked at B.B. Graham & Company,…

Continue reading ›
Finra Files Enforcement Action Against Hugues Guirand, Formerly of Woodstock Financial Group, Inc. – Virginia Beach, VA
Iorio Law PLLC

**Update: July 26, 2021** FINRA has barred Hugues Guirand from the securities industry after Mr. Guirand failed to respond to FINRA’s Department of Enforcement’s complaint. Original Post: FINRA Files Enforcement Action Against Hugues Guirand, Formerly of Woodstock Financial Group, Inc. – Virginia Beach, VA The Financial Industry Regulatory Authority’s Department of Enforcement has filed a…

Continue reading ›
Former Ifs Securities Broker, Steven Schisler, Facing Disciplinary Charges by Finra for Numerous Alleged Misconduct, Including Unsuitable Investment Recommendations to an Elderly Couple
Iorio Law PLLC

The Financial Industry Regulatory Authority’s Department of Enforcement has filed a disciplinary proceeding complaint against former broker Steven Schisler. The complaint alleges that from April 2009 to October 2020, Steven Schisler committed nine separate violations of FINRA and NASD rules related to his dealings with two sets of retired customers and IFS Securities, the firm…

Continue reading ›

Client Reviews

August represented my associate and me in the GWG arbitration and accomplished what we thought was impossible. He successfully tracked down the elusive owner of a firm—who had sold the company shortly after our issue arose—and secured a fair settlement for us. Another law firm had already told me...

Allan F.

August Iorio is a wonderful, very competent attorney. He helped me through a very complicated financial situation to a result that benefitted me greatly. He is responsive, efficient, and very accommodating to my personal situation. I highly recommend him.

Christine L.

I was impressed with August Iorio's directness and clarity in explaining the claim process and how it might work out. I also appreciated his promptness in getting back to me when I had questions or other concerns. The law firm is very good at what it does.

Art H.

August Iorio was the lead on our case. His professional demeanor, partnered with his responsiveness to our questions, suggestions, and ideas made us feel as if we were a team with a common goal. He always kept us updated and informed and gave us realistic expectations which resulted in a timely...

EB & SB.

Contact Us

  1. 1 Free Consultation
  2. 2 Nationwide Practice
  3. 3 No Recovery, No Fee*
Fill out the contact form or call us at (646) 330-4624 to schedule your free consultation.

Let’s Discuss Your Case