Billy Aycock and Cabin Securities Accused of Unsuitable Investment Advice

Cabin Securities, Inc. and its broker, Billy Aycock, are facing allegations of improper due diligence and unsuitable investment recommendations in a pending customer dispute filed on January 29, 2024. The claimants allege that the respondents recommended unsuitable investments in GWG L Bonds for purchases made on September 1, 2018, and December 8, 2017. The specific […]

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Raymond James Advisor Christina Abbey Under Investigation by Haselkorn & Thibaut for Misconduct

Christina Abbey, a broker and investment advisor with Raymond James & Associates, Inc., is currently under investigation by Haselkorn & Thibaut, a national investment fraud law firm, following allegations of misconduct and misrepresentation. The firm, with offices in Florida, New York, North Carolina, Arizona, and Texas, is offering free consultations to clients who may have

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Federal Court Approves $91.3 Million Settlement in GWG Holdings Bankruptcy Case

On June 13, 2025, U.S. Bankruptcy Judge Christopher Lopez of the Southern District of Texas approved a comprehensive settlement package totaling $91.3 million in the GWG Holdings Inc. Chapter 11 bankruptcy proceedings. This landmark decision represents a critical development for the thousands of investors who suffered substantial financial losses when the company collapsed and filed

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Pending Customer Dispute Hits Michael Antalek and Hornor, Townsend & Kent, LLC

Michael Antalek, a broker associated with Hornor, Townsend & Kent, LLC, is currently facing a pending customer dispute, according to his FINRA BrokerCheck report. The complaint, filed on January 30, 2024, alleges that Antalek failed to fully explain the premium requirements for a variable life insurance policy. As a result, the customer is requesting the

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