Category: General

Meyer Wilson Named Tier 1 in 2020 “Best Law Firms”

We have a Tier 1 ranking for Professional Malpractice Law by 2020 U.S. News – Best Lawyers® “Best Law Firms.” Learn more at Meyer Wilson.

JPMorgan Chase Bank Terminates Trevor Rahn After Allegations of Broker Misconduct

JPMorgan Chase Bank terminated Trevor Bradner Rahn after a series of customer disputes accused him of broker misconduct. Visit our blog for more details.

FL Broker Bobby Coburn Barred For Failing to Cooperate with FINRA Investigation Into Unapproved Transactions

Lose money investing with Bobby Wayne Coburn? The Fort Meade Broker was barred by FINRA for failing to cooperate with an investigation into unapproved securities transactions. Call Meyer Wilson.

SEC Says Merrill Lynch Advisor Marcus Boggs Used $1.7M in Client Funds for Personal Expenses

Lose money investing with former Chicago Merrill Lynch Representative Marcus Boggs? Boggs has been accused by the SEC of stealing over $1.7M in client funds to pay personal bills. Call Meyer Wilson for a consultation.

Former Manhattan Financial Advisor Elias Herbert Hafen Pleads Guilty to Investment Fraud

Lose money investing with Elias Herbert Hafen? The former Manhattan Advisor pled guilty to investment fraud charges over a scheme carried out during his time at Morgan Stanley. Call Meyer Wilson to discuss your case.

UBS Broker Jose Cornide Hit With Unsuitability, Misrepresentation Complaints

Lose money investing at the recommendation of Jose Cornide? The Florida UBS Broker is facing complaints of unsuitability and misrepresentation resulting in substantial losses. Call Meyer Wilson.

David P. Meyer Named to The Best Lawyers in America 2020

Meyer Wilson Principal and Investment Loss Attorney David P. Meyer has been selected for inclusion in the 2020 edition of The Best Lawyers in America!

Former Wells Fargo Rep Robert Montes Barred by FINRA After Investigation Into The Possible Misuse of Elderly Client Assets

Lose money investing with former Wells Fargo Advisor Robert F. Montes? Montes has been barred by FINRA for not cooperating with an investigation into potential misuse of elderly customer funds.

SEC Indicts Former LPL Broker Kerry L. Hoffman on $3.3M Investor Fraud

Former LPL Financial Broker/Adviser Kerry L. Hoffman has been sued by the SEC in a $3.3M investor fraud case involving unregistered GT Media securities. Meyer Wilson is reviewing claims nationwide.

Ohio Broker Michael Mackay Barred Over FINRA Investigation into Outside Business Activity

Did you lose money investing with Transamerica broker Michael R. Mackay? The former Cincinnati broker has been barred by FINRA over failures to comply with an investigation into alleged outside business activity.