Haselkorn & Thibaut, a national investment fraud law firm, has initiated an investigation into Vincent Jerome Camarda, formerly affiliated with A.G. Morgan Financial Advisors, LLC in New York, NY. This comprehensive report is designed to help investors understand key concerns about this advisor and highlights specific red flags and customer complaint history. If you’ve worked with Vincent Jerome Camarda or A.G. Morgan Financial Advisors, it’s important to be informed and consider your next steps. For a free case review, call Haselkorn & Thibaut at 1-888-885-7162.
Who Is Vincent Jerome Camarda?
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Vincent Jerome Camarda is a former financial advisor who has worked at several broker-dealer firms, most notably A.G. Morgan Financial Advisors, LLC, based in New York. Over his career, he has held registrations with major financial institutions including IBN Financial Services, Inc., American Portfolios Financial Services, Inc., LPL Financial LLC, SagePoint Financial, Inc., and SunAmerica Securities, Inc. However, Camarda’s history includes a substantial number of investor complaints and regulatory disclosures, making it crucial for current or former clients to review their accounts.
Professional Background and Employment History
| Firm | Position | Start | End |
|---|---|---|---|
| A.G. Morgan Financial Advisors, LLC | Principal | – | Inactive |
| IBN Financial Services, Inc. | Registered Representative | Mar 2021 | Jun 2022 |
| American Portfolios Financial Services, Inc. | Registered Representative | Jan 2019 | Dec 2020 |
| LPL Financial LLC | Registered Representative | Jan 2014 | Dec 2018 |
| SagePoint Financial, Inc. | Registered Representative | Jan 2009 | Dec 2014 |
| SunAmerica Securities, Inc. | Registered Representative | Jan 2005 | Dec 2005 |
Red Flags: Disclosures and Complaints Against Vincent Jerome Camarda
The totality of disclosures against Camarda is significant. According to public records and regulatory databases, he is listed with nineteen total disclosures, including seventeen customer complaints, one regulatory action, and a civil judicial matter. This volume of disclosures far exceeds what is typical for registered representatives, and investors are urged to review this history carefully.
Complete Complaint and Disclosure Summary
- Customer Complaints (17): Most complaints allege serious misconduct, including breach of fiduciary duty, negligence, misrepresentations, unsuitable investment recommendations, failure to supervise, and aiding and abetting fraud. Complaints involved a variety of investment products such as unregistered securities, private placements, and other high-risk products. Some losses cited in these complaints reached as high as $4 million per client. Resolutions vary—some remain pending, while others have been settled.
- Regulatory Action (SEC, June 2022): The Securities and Exchange Commission filed a civil action against Camarda, alleging his involvement in an unregistered securities offering that raised over $75 million from more than 200 investors through A.G. Morgan Financial Advisors, LLC. The complaint states Camarda failed to disclose conflicts of interest and misrepresented the safety of these investments. He is alleged to have received over $7 million in compensation from Par Funding (2017–2020)—these actions are still pending resolution.
- Civil Judicial Matter (Filed 2022): A related SEC lawsuit alleges Camarda created entities to conceal commissions from unregistered securities sales. He is also accused of acting as a guarantor on loans related to Par Funding and engaging in deceptive practices.
Professional Qualifications
Camarda passed several key industry examinations, including:
- Series 7 – General Securities Representative
- Series 63 – Uniform Securities Agent State Law
- Series 65 – Uniform Investment Adviser Law
- Series 66 – Uniform Combined State Law
- Series 24 – General Securities Principal
Despite these certifications, his regulatory and client complaint record warrants close scrutiny by current and former investors.
Steps for Investors: Reviewing Your Financial Relationship
If you’ve worked with Vincent Jerome Camarda or invested through A.G. Morgan Financial Advisors, LLC, conduct a careful review of your portfolio. Look for:
- Unusual investment products or private placements
- Losses that you did not anticipate or understand
- Potential misrepresentations or conflicts of interest
Consult your statements and revisit client correspondence for any indications of the issues described above.
Why Investors Are Contacting Haselkorn & Thibaut
Haselkorn & Thibaut (investmentfraudlawyers.com) specializes in representing investors in securities fraud and negligence cases. With over 50 years of experience, a 98% success rate, and millions recovered for clients, the firm operates under a “no recovery, no fee” model. Investors are contacting Haselkorn & Thibaut for help with claims involving private placements, unregistered securities, and high-risk investment products.
Take Proactive Steps: Contact Haselkorn & Thibaut for a Free Case Review
If you suspect that you may have experienced losses due to the issues listed above, or if you have questions about your financial accounts managed by Vincent Jerome Camarda or A.G. Morgan Financial Advisors, LLC in New York, NY, reach out for a free and confidential consultation. The experienced attorneys at Haselkorn & Thibaut are here to assist you in evaluating the facts and pursuing recovery if appropriate. Don’t hesitate to protect your retirement and investment assets.
Call Haselkorn & Thibaut today at 1-888-885-7162. There is no obligation and no fee unless they recover for you.
To review Vincent Jerome Camarda’s record further, visit FINRA BrokerCheck.

