The Roxane Rose (Merrill Lynch) Investigation

Haselkorn & Thibaut is closely monitoring a developing investigation involving Roxane Lillian Rose, a financial advisor at Merrill Lynch’s Santa Fe, New Mexico office. In April 2025, a client filed a complaint alleging unauthorized trading activities spanning December 2024 through April 2025. This case exemplifies the securities violations that can devastate investor portfolios and underscores […]

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Forrest James and Emerson Equity LLC Face Allegations of Misrepresentation

Emerson Equity LLC and broker Forrest James are currently facing allegations of misrepresentation and unsuitable investments related to Delaware Statutory Trust (DST) investments. The customer dispute, filed on January 31, 2024, is currently pending resolution, with the damage amount requested undisclosed at this time. According to FINRA’s BrokerCheck, Forrest James has a history of customer

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Morgan Stanley Advisor John Dow Accused of Exploiting Familial Ties for Asset Control

John Dow, a financial advisor at Morgan Stanley, is currently facing allegations of exploiting his personal familial relationship with a client to take control of the client’s assets in his role as power of attorney. The complaint, filed on January 31, 2024, is currently pending resolution and raises serious concerns about the conduct of the

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Former IFS Securities Advisor James Flynn Accused of Risky Investment Recommendations

James Flynn, a former broker with IFS Securities, is facing allegations of recommending risky, illiquid, and unsuitable alternative investments to a client. The client, who filed a pending customer dispute on February 1, 2024, claims that Flynn misrepresented the risks associated with these non-publicly traded investments, particularly in the real estate security sector. According to

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Merrill Lynch Advisor Darel Mitchell Investigated for Alleged Misrepresentation by Haselkorn & Thibaut, P.A.

Merrill Lynch advisor Darel Mitchell is currently under investigation by Haselkorn & Thibaut, P.A., a national investment fraud law firm, following allegations of misrepresentation. The customer dispute, which was filed on February 1, 2024, and closed with no action, claims that Mitchell engaged in misrepresentation from March 23, 2023, to November 9, 2023. According to

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