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Articles Posted in Disciplinary Actions

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Debbie Sue Arnold Barred by FINRA

January, 2017:  FINRA announces Debbie Sue Arnold Barred for violating FINRA Rule 9552 Debbie Sue Arnold, a registered representative from Albany, Ohio, formerly with Farmers Financial Solutions was suspended from FINRA membership for violations of Rule 9552 FINRA Rule 9552. Failure to Provide Information or Keep Information Current This FINRA…

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Robert Estevez Suspended Over Steepener Trades

Robert Estevez suspended by FINRA In September, 2016, the Financial Industry Regulatory Authority (“FINRA”) announced that Robert Estevez of Greenwich, CT, a registered representative with Joseph Gunnar and Company submitted an acceptance, waiver and consent letter whereby he was suspended from association with any FINRA member in any capacity for…

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FINRA Bars Joey Broussard

Joey Broussard barred by FINRA In November, 2016, the Financial Industry Regulatory Authority (“FINRA”) announced that Joey Broussard of Princeton, Texas, a registered representative formerly with Source Capital Group and Red River Securities was barred from association with any FINRA member  in any capacity.  The FINRA findings stated that a…

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Barbara Bottoms fined, suspended by FINRA

Barbara Bottoms fined and suspended by FINRA In November, 2016, the Financial Industry Regulatory Authority (“FINRA”) announced that Barbara Bottoms of North Pole Alaska, a registered representative formerly with Wells Fargo Advisors submitted an acceptance, waiver and consent letter whereby he was suspended from association with any FINRA member  in…

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FINRA Bars Broker Jay Chitnis

Jay Chitnis barred by FINRA In November, 2016, the Financial Industry Regulatory Authority (“FINRA”) announced that Jay Chitnis of Atlanta, Georgia, a registered representative formerly with Yieldquest Securities and IFS Securities submitted an acceptance, waiver and consent letter whereby he was barred from association with any FINRA member  in any…

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Hank Werner of Legend Securities Charged by FINRA

FINRA charges Hank Werner of Legend Securities. In a complaint filed by the FINRA Department of Enforcement in October, 2016 Hank Werner of Northport, NY, a former registered representative with Legend Securities was named as a Respondent in a complaint charging him with churning an elderly widow’s account over three…

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Encinitas Broker Derek Miller Suspended by FINRA

FINRA suspends Encinitas, CA broker Derek Miller. Derek Miller, a registered representative from Encinitas, CA formerly with Securities America and Cambridge Investment Research was suspended from FINRA membership for violations of Rule 9554.  He has subsequently been barred by FINRA. FINRA Rule 9554. Failure to Comply with an Arbitration Award…

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Former UBS Broker David Lavine Barred by FINRA

Sugar Land UBS broker David Lavine barred by FINRA. David Lavine, a registered representative from Sugar Land, TX, formerly with UBS Financial Services was suspended from FINRA membership for violations of Rule 9554.  He has subsequently been barred by FINRA. FINRA Rule 9554. Failure to Comply with an Arbitration Award…

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