Leonard Joseph Marzocco Suspended by FINRA for Excessive and Unsuitable Trading

2020-07-05T16:26:35-05:00July 5th, 2020|Churning, FINRA - Broker Actions, Fraud, Securities Law, Unsuitability|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker/advisor Leonard Joseph Marzocco (CRD # 3106494) was recently suspended from the securities [...]

Robert James McNamara Suspended by FINRA for Unauthorized Discretion in Customer Accounts

2020-07-02T14:15:46-05:00July 2nd, 2020|FINRA - Broker Actions, Securities Law|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker/advisor Robert James McNamara (CRD # 1207495) was recently suspended from the securities [...]

Michael Joseph Iannarino Permanently Barred from the Securities Industry by FINRA

2020-07-01T17:24:59-05:00July 1st, 2020|FINRA - Broker Actions, Fraud, Securities Law, Unsuitability|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker/advisor Michael Joseph Iannarino (CRD # 1258453) was recently permanently barred from the [...]

Frank Venturelli Suspended by FINRA for Excessive and Unsuitable Trading

2020-06-28T14:21:32-05:00June 24th, 2020|Churning, FINRA - Broker Actions, Fraud, Securities Law, Unsuitability|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker/advisor Frank Venturelli (CRD # 6403468) was recently suspended from the securities industry [...]

Albert Dishner Suspended by FINRA for Unauthorized Trading in Equities and Options Securities

2020-06-28T14:35:06-05:00June 20th, 2020|FINRA - Broker Actions, Fraud, Securities Law|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker/advisor Albert Dishner (CRD No. 1912362) was recently suspended from the securities industry [...]

FINRA Brings Disciplinary Proceedings Against Julian Jay Piekarczyk for “Unethical Course of Conduct”

2020-07-01T11:22:22-05:00June 17th, 2020|Conflicts of Interest, FINRA - Broker Actions, Fraud, Securities Law|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that FINRA’s Department of Enforcement has recently brought disciplinary proceedings against broker/advisor Julian Jay [...]

SagePoint Financial, Inc. Sanctioned by FINRA for Failure to Supervise Regarding UIT’s

2020-06-28T14:50:57-05:00June 15th, 2020|Securities Law, Unsuitability|

Publicly available records provided by the Financial Industry Regulatory Authority (FINRA) indicate that broker-dealer, SagePoint Financial, Inc. (hereinafter “SagePoint”) (CRD # 133763) was recently sanctioned by [...]

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