Thomas Jarrett Fired After Taking Orders From Dementia-Impaired Client
We’ve seen a troubling case in the financial advisory world. Thomas Jarrett, a former Wells Fargo financial advisor, was fired for accepting instructions from a client with dementia. This serious breach led to fines and suspension from his position in the industry. Financial advisors must protect their clients, especially those with mental impairments. The case
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LPL Financial Advisor Barbara Leonard Faces Unsuitable Investment Allegations
Barbara Leonard, a financial advisor associated with LPL Financial LLC, is currently facing allegations of recommending unsuitable investments to her clients. The complaint, filed on February 15, 2024, is currently pending resolution, according to the advisor’s FINRA BrokerCheck report. The details of the allegations state that Leonard‘s clients have accused her of recommending investments that
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Chris Knutson (Aegis) Complaints And Investigations
Financial advisor misconduct can harm investors and damage trust in the market. We want to shine a light on Chris Knutson from Aegis Complaints, a broker who has faced several serious claims. Since joining Aegis Capital Corp in 2014, Knutson has been the subject of multiple customer complaints and investigations. His career spans work at
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