Financial Advisor Fraud

Serious Allegation against Deborah Anderson and Firm LPL Financial LLC Surfaces

In a recent development that has sent shockwaves through the investment community, a serious allegation has been brought against Deborah Anderson, a former broker and investment advisor associated with LPL Financial LLC (CRD 6413). The gravity of this case cannot be overstated, as it has the potential to significantly impact investors who have entrusted their […]

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Stonecrest Advisors Face Arbitration for Poor Investment Recommendations

In a recent development, Stonecrest Capital Markets, Inc. (the “Firm”) received a FINRA arbitration notice on February 28, 2024, from a client, Mr. [REDACTED], directed against registered representatives Edward Kasperavich (CRD#4970038) and Deborah Stackpole (CRD#4969850). The complaint lodged serious allegations of poor recommendation and advice concerning an investment made by Mr. [REDACTED] in GWG Holdings,

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Michael Shoniker FINRA Fine: Suspension And Penalty Revealed

Michael Shoniker, a former broker, faced sanctions from the Financial Industry Regulatory Authority (FINRA). FINRA took action against Shoniker for undisclosed compensation linked to fee-sharing deals. As a result, Shoniker agreed to a six-month suspension from the financial industry. He also accepted a $7,500 fine as part of the settlement. Shoniker’s case highlights FINRA’s focus

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Stonecrest Capital Advisors Face Allegations of Poor Investment Recommendations

Stonecrest Capital Markets, Inc. and its registered representatives, Edward Kasperavich (CRD#4970038) and Deborah Stackpole (CRD#4969850), are facing serious allegations of poor recommendation and advice concerning investments made by a client, Mr. [REDACTED], in GWG Holdings, LLC L-Bonds and Northstar Healthcare Income, Inc. The client filed a FINRA arbitration notice on February 28, 2024, claiming losses

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Portsmouth Advisor Phillip Kao Faces Serious Investor Dispute Allegation

Phillip Kao, a broker associated with Portsmouth Financial Services, is currently facing a serious customer dispute allegation that could have significant implications for investors. According to the disclosure on his FINRA BrokerCheck report, the customer alleges that an investment made in 2014 was unsuitable for their investment objectives and risk tolerance. The disclosure, which is

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