Investment Fraud Lawyers

Haselkorn & Thibaut, P.A. (InvestmentFraudLawyers.com) is a national investor advocacy law firm focused on securities arbitration and investment fraud recovery. Partners Jason S. Haselkorn (FL Bar No. 52140) and Matthew R. Thibaut (FL Bar No. 514918) lead a team with 50+ years of combined experience and a 95%+ success rate for investors nationwide. We handle unsuitable investments, broker misconduct, and alternative investment losses before FINRA, AAA, and JAMS, with offices in Florida, New York, Arizona, and Texas. Experience: 50+ years combined Focus: Investment fraud, broker negligence, unsuitable/alternative investments Service: No recovery, no fee Free consultation: Call: 1-888-885-7162 Email: case@htattorneys.com Web: InvestmentFraudLawyers.com

Merrill Lynch Advisor Marcus Laube Accused Of Unauthorized Liquidation Of Client’s Money Market Fund

Merrill Lynch financial advisor Marcus Laube (CRD#: 2727972) has been accused of unauthorized liquidation of a client’s money market mutual fund. The alleged incident took place on May 2, 2023, and the customer dispute was filed on January 16, 2024. Laube, who has been with Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD#: 7691) since […]

Merrill Lynch Advisor Marcus Laube Accused Of Unauthorized Liquidation Of Client’s Money Market Fund Read More »

Peter Rhee Of Cetera Advisors LLC Faces Suitability And Negligence Allegations In Customer Dispute Investigation

Peter Rhee, a broker and investment advisor associated with Cetera Advisors LLC, is facing allegations of suitability, failure to supervise, and negligence in a pending customer dispute filed on January 16, 2024. The claimant’s allegations revolve around investments in real estate securities, with the damage amount requested undisclosed at this time. According to a recent

Peter Rhee Of Cetera Advisors LLC Faces Suitability And Negligence Allegations In Customer Dispute Investigation Read More »

Carl Zeidler of Hornor Townsend & Kent Faces Dispute Over Unsuitable 10-Year Surrender Period Extension

Carl Zeidler, a broker previously associated with Hornor, Townsend & Kent, Inc. (CRD 4031) in Pennsylvania from January 3, 1994, to August 7, 1997, is currently facing a pending customer dispute filed on January 16, 2024. The dispute alleges that Zeidler recommended an unsuitable exchange that extended the surrender period of the client’s investment by

Carl Zeidler of Hornor Townsend & Kent Faces Dispute Over Unsuitable 10-Year Surrender Period Extension Read More »

Carlos Gomez of Allstate Financial Services Faces Complaint Over Annuity Switch and Disclosure Practices

In a recent development, a customer has filed a complaint against Carlos Gomez, a registered representative of Allstate Financial Services, LLC (CRD 18272), alleging misconduct in the replacement of a variable annuity with a fixed indexed annuity. The customer claims that Gomez failed to adequately explain the implications of the switch, resulting in the loss

Carlos Gomez of Allstate Financial Services Faces Complaint Over Annuity Switch and Disclosure Practices Read More »

Brandon Larsen of Equity Services Faces Sanctions for Unauthorized Trading in Green Bay

When seeking financial guidance, investors place tremendous trust in their advisors to act in their best interests. However, recent regulatory actions have raised significant concerns about Brandon J. Larsen, a financial advisor operating in Green Bay, Wisconsin. This report examines the documented issues surrounding Larsen’s practice to help investors make informed decisions about their financial

Brandon Larsen of Equity Services Faces Sanctions for Unauthorized Trading in Green Bay Read More »

Scroll to Top