Articles Posted in financial advisor malpractice

Dee Dee Brooks Barred by Finra – Huntington Beach, California
Iorio Law PLLC

In June 2020, FINRA permanently barred financial advisor Dee Dee Brooks (CRD #2559233) from the securities industry. Ms. Brooks was a financial advisor at Signator Investors, Inc. in Huntington Beach, California. FINRA’s disciplinary action arose from Ms. Brook’s solicitation of two private securities transactions, Woodbridge Group of Companies LLC (“Woodbridge”) and Future Income Payments, LLC.…

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Former Stifel, Nicolaus & Company, Inc. Financial Advisor Kurt Gunter Suspended by Finra for Short-Term Trading of Unit Investment Trusts in Customer Accounts
Iorio Law PLLC

FINRA has suspended financial advisor Kurt Jason Gunter (CRD No. 2747789) from the securities industry for three months and fined him $10,000. FINRA alleged that between July 2013 through December 2016, Kurt Gunter engaged in an unsuitable pattern of short-term trading of Unit Investment Trusts in customer accounts. FINRA also alleged that Mr. Gunter signed…

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Neemit M. Shah Suspended for Six Months for Recommending Future Income Payments, Llc – Glen Allen, Virginia
Iorio Law PLLC

In October 2020, FINRA suspended financial advisor Neemit M. Shah (CRD #4812480) for six months from the securities industry and ordered him to pay a $5,000 fine. These sanctions arose from Mr. Shah’s solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that between March 2016…

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Micah W. Patterson Was Suspended for One Month for Soliciting Future Income Payments, Llc – Centerville, Utah
Iorio Law PLLC

In June 2020, FINRA suspended financial advisor Micha W. Patterson (CRD #5562392) for one month from the securities industry and ordered him to pay a $5,000 fine. These sanctions arose from Mr. Patterson’s solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that between June 2017…

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Investigation: Former Edward Jones Financial Advisor Matthew Jennings Barred by Finra– Johnston, Iowa
Iorio Law PLLC

FINRA has barred financial advisor Matthew Jennings (CRD# 6762685) from the securities industry for refusing to cooperate with a FINRA investigation. Mr. Jennings was fired by Edward Jones in August 2019 due to concerns that he introduced clients to investments not offered through the firm. This type of conduct is often referred to as “selling…

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Former Merrill Lynch Broker Douglas Stopkey Suspended by Finra for 30 Days Over Unauthorized Trading and Mismarked Orders in Senior Customer Accounts
Iorio Law PLLC

FINRA has suspended financial advisor Douglas William Stopkey from the securities industry for a 30-day period, which began on November 16, 2020, and runs through December 15, 2020. Douglas Stopkey was registered with Merrill Lynch, Pierce, Fenner & Smith in Richmond, VA, from March 1992 until September 2018, when he was terminated. Since then, he…

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David T. Phillips Suspended for Nine Months for Future Income Payments, Llc Solicitation – Gilbert, Arizona
Iorio Law PLLC

FINRA has suspended stockbroker David T. Phillips (CRD #3094195) for nine months from the securities industry and ordered him to pay a $5,000 fine. These sanctions arose from Mr. Phillips’ solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that between May 2017 and April 2018,…

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Troy R. Baily Suspended for Recommending Future Income Payments, Llc – Omaha, Nebraska
Iorio Law PLLC

FINRA has suspended stockbroker Troy R. Baily (CRD #4458930) for six months from the securities industry and ordered him to pay a $5,000 fine. These sanctions arose from Mr. Baily’s solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that between February and May 2017, Troy…

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Lonna R. Dehn Ristvedt Suspended for Soliciting Customers to Buy Future Income Payments, Llc – Fargo, North Dakota
Iorio Law PLLC

FINRA has suspended stockbroker Lonna Rae Dehn Ristvedt (CRD #2277778) for four months from the securities industry and ordered her to pay a $5,000 fine. These sanctions arose from Ms. Dehn Ristvedt’s solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that in June 2015, Lonna…

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John Westbrook Suspended for Future Income Payments, Llc Solicitation – Montgomery, Alabama
Iorio Law PLLC

FINRA has suspended stockbroker John A. Westbrook (CRD #1846059) for five months from the securities industry and ordered him to pay a $5,000 fine. These sanctions arose from Mr. Wesbrook’s solicitation of Future Income Payments, LLC. This blog has previously written about Future Income Payments, LLC. FINRA alleged that between October 1, 2016, and May…

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