Meyer Wilson’s securities fraud attorneys have been investigating
claims against Jerry D. McCutchen Sr. (CRD# 1076678), a formerly a broker
at Berthel, Fisher & Company Financial Services, Inc. since mid-August.
Since our previous report on former broker Jerry D. McCutchen Sr. (CRD# 1076678), the Financial Industry
Regulatory Authority (FINRA) has barred him from acting as an investment
adviser or broker, or from associating with any firm that sells securities
to the public.
McCutchen failed to appear of provide testimony on the record to FINRA
by the regulatory authority’s deadline, thereby violating FINRA
rules 2010 and 8210. He sent an email acknowledging that he received the
request, and by declining to provide the required testimony, consented
to being barred from associating with any FINRA member firm.
For more information on other brokers the investor fraud attorneys at Meyer
Wilson are investigating,
visit our Investment Fraud Law Blog, and if you have lost money investing with this former Berthel, Fisher
& Company Financial Services broker, contact us today and tell us
more about your case by
filling out our online form. We handle every case on a contingency fee basis, which means that you
won’t owe us any legal fees until we help you recover the money you lost.