Financial Advisor Lost My Money

Former LifeMark Securities Broker Raymond Garner Faces $130,000 Investor Arbitration Claim

Raymond Noel Garner – Former LifeMark Securities Broker in Saint Augustine, FL: Investor Update and Review Haselkorn & Thibaut, a nationally recognized investment fraud law firm, has launched an independent investigation into Raymond Noel Garner (CRD# 1489704), a former broker of LifeMark Securities Corp. in Saint Augustine, Florida. If you’re an investor who worked with […]

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Financial Advisor Lost My Money

Ryan Finch Emerson Equity Faces $542,000 Investor Complaint Investigation

Ryan Finch, Emerson Equity Advisor in Greenwood, Colorado: Comprehensive 2025 Investor Report Haselkorn & Thibaut, a leading national investment fraud law firm, has opened an investigation into Ryan Finch (CRD# 6379871), a Colorado-based financial advisor registered with Emerson Equity, doing business as Tangible Wealth Solutions. This research-backed report provides investors with a complete and updated

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Merrill Lynch Advisor Donald Hansen Under Investigation for Alleged Excessive Trading and Client Misconduct

Merrill Lynch advisor Donald Hansen is currently under investigation for allegedly excessively trading a client’s account and failing to act in her best interest between January 2021 and January 2024. The client has filed a pending customer dispute against Hansen, who was registered with Merrill Lynch, Pierce, Fenner & Smith Incorporated (CRD 7691) in California

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Financial Advisor Lost My Money

**Timothy Darragh Stifel Nicolaus Investigation Opens Following Client Complaints**

Timothy Darragh – Stifel, Nicolaus & Company, Chicago, IL: Haselkorn & Thibaut Investigation Report Haselkorn & Thibaut, investment fraud lawyers with a national reach and over 95 years of experience, has opened an investigation into Timothy Darragh (CRD 1897635), a registered financial advisor based in Chicago, IL, currently employed by Stifel, Nicolaus & Company, Incorporated.

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Amanda Hale Of Ameriprise Financial Services Under Scrutiny Amid Variable Annuity Misrepresentation Allegations

Amanda Hale, a broker and investment advisor associated with Ameriprise Financial Services, LLC, is currently facing allegations from a former client regarding misrepresentation and failure to fully disclose the details of an income benefit rider in a variable annuity purchased through a 1035 exchange transaction in February 2015. The customer dispute, filed on January 4,

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