Meyer Wilson Investigating Claims Against Broker Christopher Bond

The securities fraud attorneys at Meyer Wilson are currently investigating claims against broker and investment adviser representative Christopher E. Bond (CRD# 4658534).

According to the Financial Industry Regulatory Authority (FINRA) BrokerCheck report, National Securities Corporation broker Christopher E. Bond (CRD# 4658534) is currently the subject of two pending customer disputes and one criminal charge.

The first customer dispute, filed on March 23, 2015, alleges that Bond performed unauthorized trades. The customer is requesting $75,000 in damages.

The second customer dispute, filed on September 22, 2016, alleges that Bond provided unsuitable investment recommendations. The customer is requesting $546,735 in damages.

The one pending criminal charge was filed on October 19, 2016, and alleges criminal mischief in the third degree and a violation of New York Penal Law § 145.05 for causing more than $250 worth of damage to someone else’s property. This is the third time Bond has been charged with a crime since 2008.

Bond is currently registered with National Securities Corporation based out of Melville, NY. He was previously registered with:

  • GunnAllen Financial, Inc. based out of Tampa, FL.
  • Ehrenkrantz King Nussbaum, Inc. based out of Melville, NY. This firm was expelled by FINRA back on October 12, 2012.

If you lost money investing with National Securities Corporation broker Christopher Bond, contact our securities fraud attorneys at Meyer Wilson today. For nearly 20 years, we have provided our clients with the experienced legal representation they require to secure the financial compensation they deserve. Through our efforts, we have successfully recovered over $350 million in verdicts and settlements for our clients. Call us at one of our office locations to discuss your case with a member of our firm, or fill out our online form to request a free case evaluation today.

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