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Articles Posted in FINRA Enforcement Actions 2012

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Roland Craig Matatics – West Palm Beach, Florida Account Executive Theft and Conversion FINRA, AAA and JAMS Arbitration and Litigation Attorney

Roland Craig Matatics – Keene, New Hampshire: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement…

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Harrison A. Hatzis – Hallandale, Florida Broker/Dealer and Investment Advisor Mismanagement and Negligent Supervision FINRA Arbitration and Litigation Attorney

Harrison A. Hatzis – Hallandale, Florida: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement action,…

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Carolyn Avia Harmon – Royal Palm Beach, Florida Broker/Dealer and Investment Advisor Theft and Conversion FINRA Arbitration and Litigation Attorney

Carolyn Avia Harmon – Lenoir, North Carolina: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement…

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Eugenio Verzili – Hollywood, Florida Investor Advisor Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney

In the Matter of Eugenio Verzili Recently, the Securities and Exchange Commission (“the Commission”) issued an Order Instituting Administrative Proceedings Pursuant to Section 203(f) of the Investment Advisers Act of 1940, Making Findings, and Imposing Remedial Sanctions (Order) against Eugenio Verzili (Verzili). The Order finds that on July 3, 2012,…

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Philip Christopher Crescimanno – Land O’ Lakes, Florida Unapproved Outside Business Activity FINRA Arbitration and Litigation Attorney

Philip Christopher Crescimanno – Land O’ Lakes, Florida: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and…

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Timonthy David Cochrane – Margate, Florida Broker/Dealer Theft and Conversion FINRA Arbitration and Litigation Attorney

Timothy David Cochrane – Eureks, California: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement action,…

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Russell Kent Childs – Coral Springs, Florida Broker/Dealer and Investment Advisor Private Placement Suitability FINRA Arbitration and Litigation Attorney

Russell Kent Child – Spring, Texas: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement action,…

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Lowell Andrew Chick – Davie, Florida Theft and Conversion Broker/Dealer and Investment Advisor FINRA Arbitration and Litigation Attorney

Lowell Andrew Chick – Williamsville, New York: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement…

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Tilden Loucks, & Woodnorth, LLC, Lasalle St. Securities and Ralph B. Loucks – Lake Worth, Florida Broker/Dealer and Investment Advisor Fraud and Misrepresentation FINRA Arbitration and Litigation Attorney

In the Matter of Tilden Loucks & Woodnorth, LLC, Lasalle St. Securities, LLC, and Ralph B. Loucks Recently, the Securities and Exchange Commission, (“the Commission”) issued an Order Instituting Administrative and Cease-and-Desist Proceedings Pursuant to Section 15(b) of the Securities Exchange Act of 1934 and Sections 203(e), 203(f) and 203(k)…

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Mayra Alejandra Carpena – North Palm Beach, Florida Broker/Dealer and Investment Advisor Forgery FINRA Arbitration and Litigation Attorney

Mayra Alejandra Carpens – Tucson, Arizona: The Financial Industry Regulatory Authority, Inc. (FINRA) is a self-regulatory authority assigned the responsibility, by the Securities and Exchange Commission, to license, regulate and discipline securities broker/dealers and their employees, including account executives. In the event that FINRA elects to institute and enforcement action,…

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