Edward Joseph Villanyi, Stifel, Nicolaus & Company – Investor Investigation in Indianapolis, IN
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Haselkorn & Thibaut, a leading national investment fraud law firm, has initiated an investigation into Edward Joseph Villanyi (CRD #2348401), a financial advisor based in Indianapolis, Indiana and currently affiliated with Stifel, Nicolaus & Company, Incorporated. If you are an investor with Mr. Villanyi or have recently experienced unexpected losses, this report will equip you with crucial information about his background, the red flags investors should be aware of, and what to do if you have concerns about your investments.
Who Is Edward Joseph Villanyi?
Edward Joseph Villanyi is a registered financial advisor and stockbroker currently working at Stifel, Nicolaus & Company, Incorporated in Indianapolis, IN (8900 Keystone Crossing, Suite 300). With a career spanning back to 1993, Mr. Villanyi has worked at several prominent brokerage firms, including:
- Merrill Lynch, Pierce, Fenner & Smith Incorporated (2009–2022, Indianapolis, IN)
- Wells Fargo Advisors, LLC (2003–2009, Indianapolis, IN)
- Prudential Securities Incorporated (1993–2003)
Current Licenses & Registrations:
- Registered with 6 SROs (Self-Regulatory Organizations)
- Licensed in 25 states/territories
- Qualified with Series 7, Series 3, SIE, Series 63, and Series 65 exams
Beyond his work in finance, Villanyi has business interests in a vacation rental property in Fishers, IN, serves as owner/treasurer of Valley Farms (corn & soybeans), and is a board member of the Geist Lake Coalition.
List of Complaints and Allegations Against Edward Joseph Villanyi
Haselkorn & Thibaut is tracking developments related to a significant customer dispute that has emerged against Edward J. Villanyi:
- Pending Customer Dispute: According to recent BrokerCheck disclosures, there is a pending customer complaint received August 21, 2025, alleging a “loss of over $100,000” while Villanyi was at Stifel, Nicolaus & Company. The client claims an investment was liquidated without their authorization and the proceeds re-invested into two mutual funds.
- No other customer disputes, arbitrations, or regulatory actions appear to be reported at this time in official sources.
You can review the most up-to-date registration and disclosure history on FINRA BrokerCheck by searching for Edward Joseph Villanyi (CRD 2348401).
Potential Red Flags for Investors
It is important for investors to monitor the following key red flags associated with the complaint and with financial advisor conduct in general:
| Red Flag | Description |
|---|---|
| Unauthorized Trading | Executing trades in customer accounts without explicit permission is a breach of industry regulations, including FINRA Rule 3260 and Rule 2010. |
| Unsuitable Recommendations | Recommendations should always be consistent with a client’s investment profile and objectives. Unsuitable investments may run afoul of FINRA Rule 2111 and SEC Regulation Best Interest. |
| Breach of Fiduciary Duty | Financial advisors have an obligation to act in their clients’ best interests and avoid conflicts of interest. |
| Misrepresentation or Omission of Material Facts | Failing to disclose key information or risks violates FINRA Rule 2020 and may indicate improper conduct. |
What Should You Do If You Have Concerns With Your Account?
If you believe you have experienced investment losses due to unauthorized trading, unsuitable recommendations, or any activity that doesn’t align with your goals as discussed with your advisor, it is important not to ignore these concerns. Most customer disputes involving unauthorized activity or financial advisor negligence can potentially be recovered through FINRA arbitration.
The law firm of Haselkorn & Thibaut offers investors a free, confidential consultation to discuss your legal options. With an industry-leading 98% success rate, over 50 years of combined experience, and millions recovered for clients nationwide, Haselkorn & Thibaut operates on a “no recovery, no fee” policy.
Frequently Asked Questions
- How can I verify if my advisor has customer complaints or disciplinary actions?
Visit FINRA BrokerCheck and search by the advisor’s name or CRD number (Edward Joseph Villanyi: 2348401) to review official disclosures. - Can I recover investment losses caused by unauthorized or unsuitable trading?
You may have a claim through the FINRA arbitration process. Many disputes over losses are resolved in arbitration without traditional lawsuits. - Will I owe any legal fees if my recovery is unsuccessful?
No. Haselkorn & Thibaut offers a contingency fee arrangement – you pay nothing unless you recover funds.
Why Work With Haselkorn & Thibaut?
- National presence, with a focus on representing individual investors
- Experienced securities attorneys, serving investors for over five decades
- Proven 98% success rate in investment loss recovery and investor fraud claims
- No upfront fees. No recovery, no fee.
- Compassionate, professional, and direct approach to every client
Contact Haselkorn & Thibaut – Free Consultation for Investors
If you lost money in an account managed by Edward Joseph Villanyi (Stifel, Nicolaus & Company, Indianapolis, IN) or have questions about your investments, our legal team is standing by to help you review your options.
Call Haselkorn & Thibaut at 1-888-994-8066 today for your free, confidential case review.
You deserve answers. Don’t let uncertainty get in the way of your financial security. Reach out now to take the first step toward protecting your rights as an investor.

