Investment Fraud Lawyers

Haselkorn and Thibaut, InvestmentFraudLawyers.com, specialize in fighting for investors nationwide and have offices in Florida, New York, North Carolina, Arizona, and Texas. We have over 50 years of experience and a 98% success rate.   Call us now for a free consultation at 1-800-856-3352 or email us at [email protected] No Recovery, no fee.

Uncovered: Scott Kremer’s Alleged Investment Fraud with Fifth Third Wealth Advisors LLC

Investment fraud is a serious offense with severe implications for both the alleged perpetrator and the victims. Recently, an allegation has been made against Scott Kremer, a former broker with Fifth Third Wealth Advisors LLC and Key Investment Services LLC. The allegation, made by the Florida Office of Financial Regulation, claims that Kremer provided investment […]

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John Darmanian’s Scandal: A Blow to Western International Securities?

When it comes to investing, trust in a financial advisor is paramount. However, recent allegations against John Darmanian, a broker and investment advisor with Western International Securities, Inc., have raised serious concerns about his professional conduct. The allegations, currently pending, include breach of contract, breach of fiduciary duty, negligence, omission, and misrepresentation in the sale

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Sean Flynn’s Controversial Case Shakes Commonwealth Financial Network

As investors, it is crucial to be aware of the potential risks associated with financial advisors and the importance of their professional conduct. Recently, a case surfaced that underscores the gravity of allegations against financial advisors. This case involves Sean Flynn, a broker associated with COMMONWEALTH FINANCIAL NETWORK (CRD 8032), who is currently under investigation

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Unraveling the Douglas Coleman Scandal at LPL Financial LLC

Investment disputes can be a complicated and stressful process for investors. One such case currently under investigation is the serious allegation against Douglas Coleman, a representative of LPL Financial LLC. This case, filed on 9/22/2023, involves a customer dispute where the claimant alleges that an unsuitable recommendation was made in 2013 to purchase an alternative

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How Carlo Freese’s Alleged Neglect Cost a Charles Schwab Client Thousands

Investment fraud is a serious issue that can have devastating financial consequences for investors. One such case currently under investigation involves a customer dispute against Carlo Freese, a representative of Charles Schwab & Co., Inc. The allegation, which is still pending, was filed on 9/22/2023 and claims that Freese did not follow specific investment instructions

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