Financial Advisor Lost My Money

Haselkorn & Thibaut Opens Investigation Into Earl Newsome of LPL Financial, NEXT Financial Group

Haselkorn & Thibaut, a leading national investment fraud law firm, has opened an investigation into Earl Newsome, a financial advisor based in Spring, Texas, currently registered with LPL Financial and previously associated with Next Financial Group. With over 95 years of experience, a 98% success rate, and millions recovered for investors Nationwide, our team is […]

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Bryon Martinsen Of Centaurus Financial Faces Allegations Of Mishandling Client Investments In Pending Dispute

Bryon Martinsen, a former registered representative with Centaurus Financial, Inc., faces allegations of mishandling clients’ investments, according to a pending customer dispute filed on January 3, 2024. The customers allege that Martinsen failed to invest their money in accordance with their goals and instead chose to invest the majority of their funds in high-risk, illiquid,

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Bryon Martinson Of Centaurus Financial Faces Customer Allegations Over High-Risk Illiquid REIT Investments

Bryon Martinson, a former registered representative with Centaurus Financial, Inc., is facing serious allegations from customers who claim that he failed to properly invest their money in accordance with their financial goals. Instead, the customers allege that Martinson chose to invest the majority of their funds in high-risk, illiquid, non-traded REITs (Real Estate Investment Trusts).

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USQ Core Real Estate Interval Fund Liquidation – Investor Recovery Options

USQ Core Real Estate Interval Fund Liquidation: Investor Losses, Bad Financial Advice & How to Recover Money

If you invested in the USQ Core Real Estate Interval Fund and are now facing substantial losses due to the fund’s liquidation, you’re not alone—and you may have legal options to recover your money. Many investors were sold this product as a safe, income-generating portfolio diversifier, only to Discover they were never told about the

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Michele Savarese of CreativeOne Securities Faces Allegations of Fiduciary Breach and Account Negligence

Michele Savarese, a broker and investment advisor affiliated with CreativeOne Securities, LLC, is currently facing allegations of breach of fiduciary duty and account negligence. The customer dispute, filed on January 3, 2024, is pending resolution and involves investments in Business Development Companies (BDCs). According to FINRA’s BrokerCheck, Savarese has been in the financial industry since

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