2025

Prudential Advisor Thomas Branchini Accused of Negligence and Misrepresentation

A recent customer dispute filed with the Financial Industry Regulatory Authority (FINRA) has brought to light allegations against Thomas Branchini, a financial advisor associated with Pruco Securities, LLC, a subsidiary of Prudential Financial. The client, whose identity remains confidential, has accused Branchini of negligence and misrepresentation in handling her beneficiary designations. According to the complaint, […]

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Bryan Chew of Commonwealth Financial Network Faces Customer Dispute

Bryan Chew, a broker and investment advisor associated with Commonwealth Financial Network, is facing a pending customer dispute alleging breach of fiduciary duty. The complaint, filed on January 26, 2024, centers around the market loss of a single position in the client’s account, despite the account producing an annual rate of return exceeding 6% for

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Fraud Investigation Targets J.P. Morgan Advisor Viktoriia Strange-Vitkovska and Firm

J.P. Morgan Securities LLC and broker Viktoriia Strange-Vitkovska are currently under investigation by the investment fraud law firm Haselkorn & Thibaut following allegations of forgery and unauthorized purchase of a life insurance policy. The customer dispute, which was settled on January 29, 2024, raises concerns about potential financial advisor malpractice and highlights the importance of

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david lerner energy 11

Energy 11: Investor Notice on Loss Recovery Options

Important Notice: Haselkorn & Thibaut is currently investigating David Lerner Associates’ sales of Energy 11 and Energy 12 investments and actively helping investors recover their losses from these unsuitable energy investments. The energy sector has long been a cornerstone of investment portfolios, offering both opportunities for substantial returns and significant risks. Among the various energy

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Allstate Broker Lee McPherson Under Investigation for Variable Annuity Misconduct

Lee McPherson, a broker associated with Allstate Financial Services, LLC, is currently under investigation by Haselkorn & Thibaut, a national investment fraud law firm, following allegations of variable annuity misconduct. The firm, with offices in Florida, New York, North Carolina, Arizona, and Texas, is offering free consultations to clients who may have suffered losses due

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