Broker Kyle Mostransky Faces Serious Allegation at NYLIFE SECURITIES LLC

In a recent development, a serious allegation has been made against Kyle Mostransky, a broker associated with NYLife Securities LLC (CRD 5167) in New York. The customer dispute, filed on March 1, 2024, and currently pending resolution, alleges that Mostransky failed to inform the client about surrender charges when the client requested distributions from a […]

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Former Top Broker Robert Daly Barred Over Private Investment Allegations

Robert Daly, a former top broker, faced serious allegations of misconduct in 2024. The Financial Industry Regulatory Authority (FINRA) barred Daly on October 10 for engaging in unauthorized private securities transactions. This action came after Xtellus Capital Partners fired him on October 4 for undisclosed investment activities. Daly’s case highlights the risks of broker misconduct

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Investor Dispute Puts NYLIFE’s Mark Lenert Under Haselkorn & Thibaut Investigation

Mark Lenert, a registered representative with NYLife Securities LLC, is facing a serious customer dispute allegation that has the potential to significantly impact investors. According to the disclosure on his FINRA BrokerCheck (CRD #4501352), the customer alleges that the variable annuity purchased in January 2022 was not clearly understood at the time of sale, and

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