Haselkorn & Thibaut has opened an investigation into Atlanta, Georgia financial advisor Devlin Dwyer of Patrick Capital Markets (d/b/a Corvi Capital). For investors, staying informed about the professionals managing your investments is essential to protecting your interests and financial future. Below, we provide an in-depth overview of Mr. Dwyer’s registration history, complaint record, credentials, and steps you can take if you have concerns about your accounts or advice received. If you believe you may have suffered investment losses, we invite you to contact Haselkorn & Thibaut for a free, confidential consultation at 1-888-885-7162—no recovery, no fee.
Who is Devlin Dwyer of Patrick Capital Markets in Atlanta, GA?
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Devlin Dwyer (CRD #6634140) is currently registered as a broker with Patrick Capital Markets, LLC and conducts business under the name Corvi Capital in Atlanta, Georgia. His securities industry experience spans nine years, with a registration at Patrick Capital Markets starting in 2016.
| Name: | Devlin Dwyer |
| CRD Number: | 6634140 |
| Firm: | Patrick Capital Markets, LLC (Corvi Capital) |
| Location: | Atlanta, Georgia |
| Years in Industry: | 9+ years |
| Previous Firms: | Corvi Capital Advisors, Watchdog Capital |
Mr. Dwyer holds a range of industry licenses and has passed seven securities industry qualifying exams. These include:
- Securities Industry Essentials Examination (SIE)
- Series 65 (Uniform Investment Adviser Law Examination)
- Series 63 (Uniform Securities Agent State Law Examination)
- Series 24 (General Securities Principal Examination)
- Series 22 (Direct Participation Programs Representative Examination)
- Series 82 (Limited Representative-Private Securities Offerings)
- Series 79TO (Investment Banking Registered Representative Examination)
He is state licensed in Georgia, New Jersey, and Pennsylvania.
Complaints and Disclosures: What Investors Should Know
As of June 2024, a search of FINRA’s BrokerCheck and public information sources indicates that Mr. Dwyer’s record is largely free of regulatory, criminal, or civil disclosures. However, an investor complaint was filed in November 2025, as publicly disclosed in regulatory filings current as of January 2026.
| Disclosure Type | Details / Allegations |
|---|---|
| Investor Complaint |
|
| Regulatory Actions | None reported |
| Criminal Disclosures | None reported |
| Civil Judicial Actions | None reported |
| Bankruptcies / Tax Liens | None reported |
| SEC Orders/Investigations | None reported |
Key Takeaway: The only pending disclosure on Mr. Dwyer’s record is a recent customer complaint, which is currently being addressed in arbitration. As of the latest available information, there are no civil, criminal, or regulatory findings against Devlin Dwyer or Patrick Capital Markets.
Potential Red Flags for Investors
- Pending investor complaint for unsuitable investment recommendations
- Alleged breach of fiduciary duty—an important aspect in client-advisor relationships
- Complaint includes allegations of negligence, breach of contract, and misrepresentation
- No prior history of regulatory sanctions, civil actions, or FINRA-reported disputes (as of June 2024)
It’s important to remember that the existence of a complaint does not equal misconduct. However, pending complaints involving suitability and fiduciary concerns do merit careful consideration. If you noticed unexplained losses or were not fully informed about the risks and details of investments recommended to you, it may be time to have your portfolio reviewed.
Tips and Next Steps for Investors
- Regularly check your advisor’s registration and disclosure record through FINRA’s BrokerCheck (use CRD #6634140).
- If you suspect your investments may not have matched your goals or risk tolerance, request a detailed account review.
- Consider a second opinion if you were advised into complex, high-fee, or illiquid investments.
- Maintain thorough documentation of your investment correspondence and statements.
How Haselkorn & Thibaut Can Help
Haselkorn & Thibaut is a national investment fraud law firm with over 50 years of experience, a 98% success rate, and has recovered millions of dollars for clients coast-to-coast. We are currently investigating Devlin Dwyer and Patrick Capital Markets following the recent claim of unsuitable investment recommendations and related breaches.
If you have concerns regarding investments made through Devlin Dwyer or Patrick Capital Markets, or if you believe you have suffered losses due to poor or unsuitable advice, you may have options for recovery. Free Consultation. No Recovery, No Fee. Our process is confidential, client-focused, and risk-free.
- Call us today at 1-888-885-7162 to discuss your situation
- Our attorneys will review your claims at no cost to you
- We only get paid if you recover damages
Your financial well-being is too important to leave to chance. Our team is here to help you every step of the way—reach out today for straightforward answers and effective legal guidance.

