Meyer Wilson

Recovering Losses Caused By Investment Misconduct

Blog Posts in March, 2017

Florida stockbroker Scott A. Sibley (CRD# 1523981) is the subject of a pending Financial Industry Regulatory Authority (FINRA) investigation for a variety of stockbroker misconduct allegations ... Continue reading "Scott Sibley Investigated for Stockbroker Misconduct, Target of Pending FINRA Investigation" »
Former Waddell & Reed stockbroker Steven Fonda (CRD# 2198086) of Nevada is under investigation by the securities fraud attorneys at Meyer Wilson for allegedly engaging in unauthorized trading, ... Continue reading "Meyer Wilson Investigating Former Broker / Advisor Steven Fonda for Unauthorized Trading" »
The stockbroker misconduct attorneys at Meyer Wilson are now investigating allegations of unsuitable recommendations against broker Cory R. Brunell (CRD# 3260340). While Cory Brunell is no longer ... Continue reading "Cory R. Brunell Investigated for Claims of Unsuitable Recommendations" »
If you have money in a bond fund or if you own a bond, you should pay close attention to an important number known as duration. This will signal the likely change in the price of your bond when ... Continue reading "Duration - How Interest Rate Hikes Can Affect Your Bond Portfolio" »
Unlike stock options, which are highly regulated and perfectly legal investment options, binary options come with far more risk and far less regulation. While a number of these options are traded on ... Continue reading "FBI Publishes Warning About Binary Options Fraud" »
Meyer Wilson’s securities fraud attorneys are investigating allegations of stockbroker misconduct by Hilary Joseph Zimmerman, who is currently not associated with any brokerage firm. On Feb. 27, ... Continue reading "Meyer Wilson Investigating Stockbroker Misconduct Complaints Against Broker Hilary Joseph Zimmerman" »
Meyer Wilson’s investment misconduct attorneys are now investigating potential unsuitable investments claims against broker Kevin C. Butler. According to a BrokerCheck report from the Financial ... Continue reading "Meyer Wilson Investigates Unsuitable Investments Claims Against Broker Kevin C. Butler" »
A recent Financial Industry Regulatory Authority (FINRA) Brokercheck report available through public records shows that broker Joel Kassewitz (CRD# 1292709) has several customer complaints filed ... Continue reading "Broker Joel Kassewitz Has Been Accused of Providing Unsuitable Investment Advice" »
Meyer Wilson’s securities fraud attorneys are now investigating potential allegations of misrepresentation against stockbroker Arthur S. Hoffman (CRD# 3193754). According to the public records ... Continue reading "Meyer Wilson Investigating Misrepresentation Claims Against Broker Arthur S. Hoffman" »

Choose a Firm with Accolades:

  • Super Lawyers
  • Million Dollar Advocates Forum
  • Preeminent AV Peer Review Rated
  • Best Lawyers Lawyer of the Year
  • Best Lawyers Best Law Firm
  • The Best Lawyers in America
  • Avvo 10/10 Rating