Search for: "Independent Financial Group LLC"
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17 Aug 2017, 7:12 am
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Vero Beach, Florida. [read post]
17 Apr 2023, 12:40 pm
National Securities Attorneys – the White Law Group The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm dedicated to helping investors in claims in all 50 states against their financial professional or brokerage firm. [read post]
17 Oct 2011, 7:27 am
Court of Appeals in Manhattan to overrule a decision by the Financial Industry Regulatory Authority, the independent regulatory group for the securities industry. [read post]
6 Aug 2019, 8:49 am
Independent Financial Group, LLC Kane, Jordan Citizens Securities, Inc Martinez, Joseph Pruco Securities, LLC The Prudential Insurance Company of America Sercia, Anthony Traderfield Securities Inc Legend Securities, Inc Weldon, Benjamin State Farm VP Management Corp FINRA makes this information available, in part, to inform investors about potential red flags or problems… [read post]
13 Feb 2024, 10:47 am
Broker Brett Hartvigson was reportedly affiliated with the following firms during his career, among others: 04/06/2009 – 10/27/2023, INDEPENDENT FINANCIAL GROUP, LLC (CRD#:7717), SAN DIEGO, CA, B, 02/24/2006 – 05/29/2009, LPL FINANCIAL CORPORATION (CRD#:6413), SAN DIEGO, CA B, 07/01/2002 – 02/27/2006, THRIVENT INVESTMENT MANAGEMENT INC. [read post]
21 May 2020, 6:40 am
According to FINRA Disciplinary actions for February 2020, the following individuals were suspended from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS Belesis, George Portfolio Advisors Alliance, LLC John Thomas Financial Berghausen, Joseph ADP Broker-Dealer, Inc Cetera Advisor… [read post]
20 May 2020, 2:25 pm
Figueroa, Mark Spartan Capital Securities, LLC Arive Capital Markets Freeman, Michael Spartan Capital Securities Legend Securities, Inc Kopatz, Karen Raymond James & Associates, Inc Morgan Keegan & Company, Inc Morgan, Gregory Allstate Financial Services, LLC ProEquities, Inc Rayner, Wesley Santander Securities LLC JP Morgan Securities Rodriquez,… [read post]
16 Aug 2012, 5:46 pm
Ill., 303030 Trading, LLC v. [read post]
4 Mar 2013, 12:44 pm
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Boca Raton, Florida. [read post]
29 Aug 2023, 12:32 pm
Hilltop Securities (CRD#: 6220) is an independent broker-dealer based in Dallas, Texas. [read post]
13 Aug 2019, 10:34 pm
Gray, P.C. has not independently confirmed these allegations, and is merely reporting what Mr. [read post]
28 Mar 2024, 10:36 am
FINRA BrokerCheck Report – Juan Carlos Sosa According to this FINRA BrokerCheck report, Juan Carlos Sosa was affiliated with the following firms during his career in the securities industry: 08/03/2022 – 03/21/2024, INDEPENDENT FINANCIAL GROUP, LLC (CRD#:7717), STUDIO CITY, CA, B, 10/31/2005 – 07/18/2022, SAGEPOINT FINANCIAL, INC. [read post]
16 Jun 2020, 6:40 am
According to FINRA Disciplinary actions for May 2020, the following individuals were barred from FINRA and cannot currently work for a FINRA brokerage firm for failing to provide FINRA with information it requested or to keep information current with FINRA pursuant to FINRA rules: NAME FORMER EMPLOYERS George Belesis Portfolio Advisors Alliance, LLC John Thomas Financial Dustin Blount MML Investors Services, LLC Northwestern Mutual… [read post]
6 Aug 2011, 5:33 am
Disability Blog & Cases: Appellate Court upholds Prudential's decision denying disability benefits to insured when he refused to attend an IME Exam Recently, the 8th Circuit Court of Appeals ruled that veteran career consultant, Anthony Polich, was not entitled to Long Term Disability (LTD) benefits after he refused to attend an Independent Medical Exam (IME) and to release relevant medical data requested by the LTD Plan administrator, Prudential Financial. [read post]
26 Feb 2010, 8:23 pm
To further complicate this situation, brokerage firms Cedar Brook Financial Partners, LLC; Next Financial Group, Inc.; QA3 Financial Corp.; and Securities America, Inc. are already embroiled in a putative class action lawsuit for their role as selling agents in the Provident Energy and Shale Royalties securities offerings. [read post]
24 May 2010, 5:30 pm
A large percentage of these investors purchased the IMH Secured Loan Fund from brokers registered with Independent Financial Group. [read post]
24 May 2010, 4:30 pm
A large percentage of these investors purchased the IMH Secured Loan Fund from brokers registered with Independent Financial Group. [read post]
21 Feb 2019, 12:20 pm
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm dedicated to the representation of investors in FINRA arbitration claims against brokerage firms throughout the United States. [read post]
24 Mar 2022, 6:17 am
(IRT) Did your Financial Advisor Recommend Investing in Non-Traded REITs? [read post]
14 Jan 2019, 7:34 am
From May 2011 until May 2018 Radke was associated with American Independent Securities Group, LLC. [read post]