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Articles Posted in FINRA rule 2010

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Broker Nathan Gersteen Katz, Formerly with Triad Advisors LLC, BARRED by FINRA – Largo, FL

FINRA has barred former Triad Advisors LLC broker Nathan Gersteen Katz from the securities industry. Mr. Katz was expelled from the brokerage industry for refusing to cooperate with a FINRA investigation into Mr. Katz’s alleged recommendations of short-term switching of mutual funds, forgery of customer signatures on switch letters, use of…

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Broker Eric Burton, Formerly with LPL Financial LLC, Suspended by FINRA – Orland Park, IL

FINRA has suspended former LPL Financial LLC broker Eric Burton from the securities industry for 3 months for allegedly falsifying documents that he submitted to LPL in connection with twenty two variable annuity (“VA”) exchanges. Burton was also fined $5,000.  If you have lost money with Eric Burton, or LPL…

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Broker John Braddock, Formerly with Lakeridge Capital Inc., Suspended by FINRA – Salida, CO

FINRA has suspended former Lakeridge Capital Inc. broker John Braddock from the securities industry for 5 months for preparing and distributing a private placement memorandum that negligently misrepresented and omitted facts relevant to an investment in a private placement. The alleged misconduct is said to have taken place between September…

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Popular Securities, LLC Broker Dennis Cummings Suspended by FINRA – Mayaguez, PR

FINRA has suspended Popular Securities, LLC broker Dennis Cummings from the securities industry for 45 business days for instructing his sales assistant to use pre-signed Letters of Authorization (LOA) to effect transfers between customers’ accounts. Cummings’ suspension is scheduled to start on July 19, 2021, and end on September 20,…

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Former Folger Nolan Fleming Douglas Incorporated Broker, Marc Lippman, Barred by FINRA – Washington, DC

The Financial Industry Regulatory Authority (“FINRA”) has barred stockbroker Marc Lippman from the securities industry.  Mr. Lippman consented to the bar after FINRA alleged that he provided false information to FINRA during on-the-record testimony regarding whether he was aware that his customer was deceased at the time of entering a…

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FINRA Files Complaint Against Former Allstate Financial Services, LLC Broker Elizabeth Ann Sollars – Terre Haute, IN

FINRA’s Department of Enforcement has filed a Complaint against former Allstate Financial Services, LLC broker Elizabeth Ann Sollars for failing to provide information and documents and for failing to appear and provide testimony to FINRA pursuant to FINRA Rule 8210. FINRA requested the information in connection with its investigation into…

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Northwestern Mutual Investment Services, LLC Broker Scott Niekamp Suspended by FINRA – Chesterfield, MO

FINRA has suspended broker Scott Niekamp from the securities industry for three months for engaging in two outside business activities without providing prior written notice to his firm, Northwestern Mutual Investment Services, LLC. Additionally, Niekamp loaned money to a firm customer in violation of the firm’s written supervisory procedures and…

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Broker Jason Howell Poff, Formerly with LPL Financial LLC, Suspended by FINRA – Houston, TX

FINRA has suspended former LPL Financial LLC broker Jason Howell Poff from the securities industry. According to an Office of Hearing Officers (“OHO”) order, Poff engaged in two outside business activities without his firm’s approval. Poff’s suspension began on June 7, 2021, and is scheduled to end on September 6,…

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Broker Jimmie Darrel Summers, Formerly with Cetera Investment Services LLC, Suspended by FINRA – Tulsa, OK

FINRA has suspended former Cetera Investment Services LLC broker Jimmie Darrel Summers from the securities industry for 45 business days for circumventing Cetera’s procedures that prohibited registered representatives from being named as a trustee, successor trustee, or executor for a firm customer, or from having power of attorney for a…

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Former Worden Capital Management Broker, Salvatore Pizzimenti, Barred by FINRA – New York, New York

The Financial Industry Regulatory Authority (“FINRA”) has barred stockbroker Salvatore Pizzimenti from the securities industry.  Mr. Pizzimenti was expelled from the brokerage industry for refusing to cooperate with a FINRA investigation related to improper trading in customer accounts while associated with Worden Capital Management LLC in New York. According to…

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