Articles Posted in investor protection

Columbus, Ohio Financial Advisor Lisa Stevenson, Formerly of the Huntington Investment Company, Barred by Finra
Iorio Law PLLC

FINRA has barred stockbroker Lisa Marie Stevenson (Lisa Marie Gastaldo) from the securities industry. FINRA expelled Ms. Stevenson from the brokerage industry because she refused to provide information and documents connected with FINRA’s investigation into the circumstances given rise to her termination from The Huntington Investment Company in December 2020. Ms. Stevenson was a financial…

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Investor Alert: Iorio Altamirano Llp Continues to Investigate Robinhood, Webull, T.d. Ameritrade, Interactive Brokers, Charles Schwab, and Other Brokerage Firms for Market Manipulation and Breach of Contract
Iorio Law PLLC

Iorio Altamirano LLP is investigating claims of market manipulation and breach of contract after Robinhood Markets, Webull Financial LLC, T.D. Ameritrade, Charles Schwab, E*Trade Financial Corp., Interactive Brokers Group, and other online brokerage platforms halted the ability of its clients to purchase GameStop (NYSE: GME), AMC (NYSE: AMC), Novavax, Inc. (NASDAQ: NVAX), Express (NYSE: EXPR),…

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Investor Alert: Iorio Altamirano Llp Investigates Robinhood, T.d. Ameritrade, Charles Schwab, and Other Brokerage Firms for Market Manipulation
Iorio Law PLLC

Iorio Altamirano LLP is investigating claims of market manipulation and breach of contract after Robinhood Markets, T.D. Ameritrade, Charles Schwab, and other brokerage firms halted the ability of its clients to purchase GameStop ($GME), AMC ($AMC), Blackberry ($BB), and Nokia ($NOK) stock. To read our most recent blog post on this investigation, please click here.…

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New Year’s Resolutions for Investors in 2021
Iorio Law PLLC

Investing your money is a great way to grow your wealth, save for retirement, and reach your financial goals. If you invest in the appropriate products, you can also receive income from investments, build on-pre-tax dollars, or reduce taxable income. If you do not invest, you miss out on opportunities to increase your wealth. However,…

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Top 15 Types of Securities Leading to Customer Disputes in 2020
Iorio Law PLLC

When an investor suffers harm, including investment losses, due to misconduct by a financial advisor or broker-dealer, the investor can file a securities arbitration claim against their financial advisor and/or broker-dealer in an effort to be compensated. The case will be presented and defended in an arbitration proceeding to a panel of arbitrators instead of…

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Ubs Ordered to Pay $90,000 to Yield Enhancement Strategy Customer
Iorio Law PLLC

On December 22, 2020, a FINRA Dispute Resolution Services arbitration panel in Boca Raton, Florida, ordered UBS Financial Services, Inc. to pay a customer $89,675 in compensatory damages. After considering the pleadings, the testimony and evidence presented at the hearing, the arbitration panel concluded that the UBS Yield Enhancement Strategy (“YES”) was not suitable for…

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Transamerica Financial Advisors, Inc. Sanctioned by Finra and Ordered to Pay $8.8 Million for Supervisory Violations Related to Variable Annuities, Mutual Funds, and 529 Plans
Iorio Law PLLC

FINRA has sanctioned Transamerica Financial Advisors, Inc. (“Transamerica Financial”) for its failure to reasonably supervise its financial advisors’ recommendations of three different products – variable annuities, mutual funds, and 529 plans. These recommendations resulted in significant customer harm and financial loss. Transamerica Financial was ordered to pay $4.4 million in restitution to approximately 2,400 affected…

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R. F. Lafferty & Co., Inc. and Financial Advisor Jay Clint Tomlinson Sanctioned by Finra – New York, Ny
Iorio Law PLLC

FINRA has suspended financial advisor Jay Clint Tomlinson from the securities industry for three months and fined him $7,500. Mr. Tomlinson’s sanctions arise from his improper use of discretion without written authorization when placing 379 trades in three customers’ accounts. FINRA has also censured Tomlinson’s employer, New York financial services firm R.F. Lafferty & Co.,…

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Former Ameriprise and Edward Jones Broker Drew R. Mantel Suspended by Finra for Exercising Discretion Without Written Authorization in Customers’ Accounts – Ohio
Iorio Law PLLC

FINRA has suspended financial advisor Drew R. Mantel from the securities industry for three months and fined him $5,000. Drew Mantel was registered with Ameriprise Financial Services, LLC in Miamisburg, Ohio, from March 2018 until November 2018. At that time, Ameriprise terminated his employment. Previously, he was registered with Edward Jones in Franklin, Ohio, from…

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Michael Edward Magill Barred by Finra – Portland, Maine
Iorio Law PLLC

FINRA has barred financial advisor Michael Edward Magill (CRD #2024663) from the securities industry. Michael Magill was a stockbroker at Foreside Fund Services, LLC, in Portland, Maine, from August 2017 until January 2019. If you have lost money with Michael Magill, contact New York securities arbitration lawyers Iorio Altamirano LLP for a free and confidential…

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