Search for: "WELLS FARGO ADVISORS, LLC" Results 61 - 80 of 477
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12 Jul 2019, 3:42 am
Also, Wells Fargo maintained the Financial Advisor Expense Manag... [read post]
5 Aug 2013, 4:06 am
John Bulkley Meacham and Wells Fargo Advisors, LLC, Respondents (FINRA Arbitration 12-00793, July 30, 2013).Respondents Meacham and Wells Fargo Advisors generally denied the allegations and asserted various a... [read post]
25 Nov 2013, 6:19 am by Adam Weinstein
The Financial Industry Regulatory Authority (FINRA) recently sanctioned Wells Fargo Advisors, LLC (Wells Fargo) and imposed a $150,000 fine over allegations that the firm failed to establish, maintain and enforce a supervisory system that was reasonably designed to adequately review and monitor the transmittal of funds from the accounts of customers to third party accounts in violation of NASD Rules 3010, 3012(a)(2)(B)(i) and FINRA Rule 2010. [read post]
24 Jan 2016, 8:33 am by Adam Weinstein
The securities lawyers of Gana LLP are investigating a number of customer complaints involving Wells Fargo Advisors, LLC (Wells Fargo) brokers, including financial advisor Charles Lynch (Lynch), concerning allegations that the investors have been recommended or their advisory accounts have been mismanaged to hold high concentrations of energy related investments. [read post]
17 May 2017, 6:42 am by Adam Weinstein
Our firm is investigating claims made by various regulators and brokerage firms including the State of Washington against broker Douglas Donnelly (Donnelly), formerly associated with brokerage firms Wells Fargo Advisors, LLC (Wells Fargo), Northwest Asset Management (Northwest), and Dinosaur Financial Group, L.L.C. [read post]
24 May 2019, 7:25 am by Staff Attorney
According to BrokerCheck records financial advisor Richard Bernstein (Bernstein), currently employed by Wells Fargo Clearing Services, LLC (Wells Fargo) has been subject to at least eight customer complaints during the course of his career. [read post]
4 Mar 2018, 5:40 am
In 2015, former Wells Fargo Advisors, LLC entry-level financial advisors Reagan Tucker, Benjamin Dooley, Marvin Glasgold, Livia Sappington, Ewa Kelly, and Patrick LaBorde filed putative class arbitrations before the Financial Industry Regulatory Authority (“FINRA”) and the American Arbitration Association (“AAA”) seeking unpaid overtime from Wells Fargo pursuant to the Fair Labor Standards Act (“FLSA”) and… [read post]
18 Mar 2022, 11:51 am
Who the hell knows.2012 Wells Fargo Arbitration Statement of Claim / 2014 FINRA AwardFrom 1998 until August 2010, Keith Patrick Sequeira was registered with FINRA member firm Wells Fargo Advisors LLC and its predecessors. [read post]
27 Nov 2018, 5:37 am by Staff Attorney
According to BrokerCheck records kept by The Financial Industry Regulatory Authority (FINRA) former advisor John Schmidt (Schmidt), formerly associated with Wells Fargo Advisors Financial Network, LLC (Wells Fargo) in Dayton, Ohio has been accused by the Securities and Exchange Commission (SEC) of misappropriating over $1.16 million from at least seven clients. [read post]
24 Jun 2015, 7:33 am by Adam Weinstein
The Financial Industry Regulatory Authority (FINRA) recently sanctioned and barred broker Douglas Melzer (Melzer) concerning allegations that between November 2011, and May 2012, while registered with Wells Fargo Advisors, LLC (Wells Fargo), Melzer solicited four customers to invest $2,000,000 in an outside investment without providing his firm notice. [read post]
30 Apr 2015, 6:32 am by Adam Weinstein
The Financial Industry Regulatory Authority (FINRA) in an acceptance, waiver, and consent action (AWC) Wells Fargo Advisors, LLC (Wells Fargo) broker Joseph DiRago Jr. [read post]
20 Dec 2011, 1:47 pm
A subsidiary of Wells Fargo Bank, Wells Fargo Investments LLC changed its name to Wells Fargo Advisors LLC in March 2010 when it merged with Wachovia Securities LLC at the same time its parent bank merged with Wachovia Bank. [read post]
11 Feb 2024, 8:55 am by Staff Attorney
The attorneys at Gana Weinstein LLP are investigating BrokerCheck records reports that financial advisor Raul Benitez (Benitez), formerly employed by Wells Fargo Clearing Services , LLC (Wells Fargo) has been subject to at least six customer complaints and one termination for cause during the course of his career. [read post]
27 Aug 2018, 10:36 am by Silver Law Group
Stucker (CRD #2197844) is a registered broker and investment advisor, currently registered with Wells Fargo Clearing Services, LLC (CRD #19616) of Fort Worth, TX. [read post]
15 Mar 2022, 12:18 pm by The White Law Group
         The post Mario Rivero Jr., Ex-Wells Fargo Broker, Reportedly Charged with Stealing Half a Million Dollars from Clients  appeared first on The White Law Group. [read post]
15 Jan 2016, 6:08 am
From the Desk of Jim Eccleston at Eccleston Law LLC:The Profit Formula division of Wells Fargo has been around for decades and became a part of Wells Fargo as a part of its acquisition of Wachovia in 2008. [read post]
14 Dec 2021, 9:00 am by The White Law Group
  The regulator censured and fined Wells Fargo Advisors Financial Network $100,000; and censured and fined Wells Fargo Clearing Services $550,000 plus $2.083 million in restitution. [read post]
23 Dec 2016, 6:47 am
 Therefore, the award came out with a net result where Wells Fargo was liable to pay Powers $180,532.07. [read post]
20 Jan 2021, 8:30 am by Renae Lloyd
Schmidt was registered with Wells Fargo Advisors Financial Network from 2006 until October 2017 when he was reportedly fired for the scheme. [read post]