Articles Posted in securities arbitration

Berthel Fisher & Company Financial Services, Inc. Customer in Layton, Utah Filed Finra Arbitration Complaint About Reits and Bdcs
Iorio Law PLLC

A Berthel Fisher & Company Financial Services, Inc. customer has recently filed a complaint with FINRA Dispute Resolution Services alleging that former broker Robyn D. Simons recommended unsuitable investments in real estate investment trusts (REITs) and business development companies (BDCs). The investments were reportedly purchased between 2014 and 2016. The complaint also alleges that Berthel…

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Statesboro, Georgia Financial Advisor Christopher B. Black Barred by Finra
Iorio Law PLLC

FINRA has barred stockbroker Christopher B. Black from the securities industry. FINRA handed down the expulsion because Mr. Black refused to provide information and documents connected with FINRA’s investigation into whether Mr. Black entered into undisclosed loan arrangements with a customer. Mr. Black was a financial advisor at LPL Financial LLC in Statesboro, Georgia, from…

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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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Broker Timothy David O’brien, Formerly with Feltl & Company, Suspended by Finra – Inver Grove Heights, Mn
Iorio Law PLLC

FINRA has suspended financial advisor Timothy David O’Brien from the securities industry for a 45-day period. He was also fined $10,000. O’Brien was registered with Feltl & Company in Inver Grove Heights, MN, from May 2012 until August 2020. He is currently not registered. If you have lost money with Timothy David O’Brien, contact New…

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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. FINRA alleged that between March 2016 and April 2016, Neemit Shah participated in private securities transactions…

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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. FINRA alleged that between June 2017 and November 2017, Micah Patterson participated in private securities transactions…

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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. FINRA alleged that between May 2017 and April 2018, David Phillips participated in private securities transactions totaling $876,636, without…

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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. FINRA alleged that between February and May 2017, Troy Baily participated in private securities transactions totaling $210,000, without prior…

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