Financial Advisor Lost My Money

Investors File Multiple Complaints Against Alan Lowenfells at David Lerner Associates

Investigation Update: Alan Lowenfells and David Lerner Associates Face Multiple Investor Complaints Haselkorn & Thibaut has opened an investigation into White Plains financial advisor Alan Lowenfells and his activities at David Lerner Associates. This investigation follows multiple investor complaints regarding allegedly unsuitable investment recommendations, particularly involving Energy 11 and Energy 12 private placements. If you’ve […]

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Bryan Chew Of Commonwealth Financial Network Cleared After Client Dispute Over Illiquid Investment

Bryan Chew, a broker and investment advisor associated with Commonwealth Financial Network (CRD 8032), is facing allegations from a client who claims she was not informed about the illiquid nature of an investment, despite acknowledging disclosures to that effect at the time of purchase. The customer dispute, which was filed on January 5, 2024, has

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Financial Advisor Lost My Money

Joseph C Pullano (Not The Canadian Joseph Pullano): Joseph Gunnar Broker Faces Multiple Investor Complaints

Please note: The article in question references “Joseph Pullano” and includes details about complaints and disciplinary actions. While the name matches, Joseph Pullano, He is different than Joseph Pullano in Canada. That Joseph is am based in Toronto, Ontario, where he provides financial planning and retirement plans for lawyers in Canada. He is also registered

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Financial Advisor Lost My Money

Financial Advisor Jessica Jung Under Investigation by Law Firm

Haselkorn & Thibaut, a national investment fraud law firm with over 50 years of experience and a 98% success rate, has opened an investigation into Jessica Jung, a financial advisor currently registered with Cambridge Investment Research and operating as Vast Wealth Advisors in Brentwood, Tennessee. This investigation follows recent investor complaints and regulatory actions that

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Tamara Glenn Of LPL Financial Faces Customer Dispute Over Alternative Investment Recommendations In Michigan

Tamara Glenn, a former broker and investment advisor associated with LPL Financial LLC (CRD 6413), is facing a pending customer dispute alleging unsuitable investment recommendations in alternative investments. The complaint, filed on January 5, 2024, specifically questions the suitability of an investment in HTI, a direct participation program (DPP) and limited partnership (LP) interest in

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