Broker Gilbert Conrad Faces Charges of Unsuitable Investments at Cetera Advisors

In a recent development, a serious allegation has been brought against Gilbert Conrad, a broker associated with Cetera Advisors Networks, LLC and COASTAL EQUITIES, INC. (CRD 23769). The pending customer dispute, filed on August 16, 2023, claims that Conrad recommended unsuitable investments, resulting in a staggering $1,000,000 in damages. This case, identified as 23-00927, has […]

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Regulus Financial Group Advisor Brian Yarch Faces Serious Allegations from Connecticut Insurance Department

Brian Yarch, a broker and investment advisor associated with Regulus Financial Group, LLC, faces serious allegations from the State of Connecticut Insurance Department. The commissioner initially denied Yarch’s insurance producer license renewal application in response to previously disclosed regulatory activity to FINRA and other state insurance regulators. This decision has significant implications for investors who

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Serious Allegation Leveled Against Andrew Pandis and Essex National Securities, LLC

In a recent development, a serious allegation has been made against Andrew Pandis, a broker and investment advisor associated with Essex National Securities, LLC and Cetera Investment Services LLC (CRD 15340). The claimants allege that Pandis recommended inappropriate investment products and strategies, resulting in substantial losses. This pending customer dispute, filed on 8/16/2023, involves a

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Gary Costello Faces Unauthorized Trading Allegation at Truist Investment Services

In a recent development, a serious allegation has been brought to light against Gary Costello, a broker and investment advisor associated with TRUIST INVESTMENT SERVICES, INC. and AEGIS CAPITAL CORP. (CRD 15007). According to the pending customer dispute filed on August 16, 2023, the client alleges that unauthorized trading occurred in his account from December

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