Dominic Thomas DeBruin (Donnie DeBruin) – Financial Advisor/Broker Donnie DeBruin Barred from Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses Donnie DeBruin (Donnie DeBruin) CRD #2395555 Donnie DeBruin was a previously licensed financial advisor/broker with LPL Financial LLC. FINRA reports that Donnie DeBruin was barred from the securities industry in November 2016. According to FINRA: Donnie DeBruin …
Wesley Evans – Financial Advisor/Broker Wesley Evans Barred from Securities Industry
Wesley James Evans (Wesley Evans) – Financial Advisor/Broker Wesley Evans Barred from Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses Wesley James Evans (Wesley Evans) CRD #6617516 Wesley Evans was a previously licensed financial advisor/broker with J.P. Morgan Securities LLC. FINRA reports that Wesley Evans was barred from the securities industry in July 2020. According to FINRA: …
Leonard Joseph Marzocco (Lenny Marzocco) – Financial Advisor/Broker Lenny Marzocco Suspended from the Securities Industry
Leonard Joseph Marzocco (Lenny Marzocco) – Financial Advisor/Broker Lenny Marzocco Suspended from the Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses Leonard Joseph Marzocco (Lenny Marzocco) CRD #3106494 Lenny Marzocco was a previously licensed financial advisor/broker with Woodstock Financial Group, Inc., First Standard Financial Company LLC, and Spartan Capital Securities, LLC. FINRA reports that Lenny Marzocco was …
Eugene James Long (Eugene Long) – Financial Advisor/Broker Eugene Long Suspended from the Securities Industry
Eugene James Long (Eugene Long) – Financial Advisor/Broker Eugene Long Suspended from the Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses Eugene James Long (Eugene Long) CRD #2386267 Eugene Long is a currently licensed financial advisor/broker with Cadaret, Grant & Co., Inc. FINRA reports that Long was fined $5,000 and was suspended from the securities industry for …
Robert James McNamara (Robert McNamara) – Financial Advisor/Broker Robert McNamara Suspended from the Securities Industry
Robert James McNamara (Robert McNamara) – Financial Advisor/Broker Robert McNamara Suspended from the Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses Robert James McNamara (Robert McNamara) CRD #1207495 Robert McNamara is a currently licensed financial advisor/broker with Cadaret, Grant & Co., Inc. FINRA reports that Robert McNamara was fined $5,000 and suspended from the securities industry for …
John George Kallis (John Kallis) – Financial Advisor/Broker John Kallis Suspended from the Securities Industry
John George Kallis (John Kallis) – Financial Advisor/Broker John Kallis Suspended from the Securities Industry | Goodman & Nekvasil, P.A. May Recover Investor Losses John George Kallis (John Kallis) CRD #4366410 John Kallis is a currently licensed financial advisor/broker with Kestra Investment Services, LLC. John Kallis was a previously licensed financial advisor/broker with MWM Advisory and LPL Financial LLC. FINRA …
Charles Chester Kulch (Charles Kulch) – Customer Dispute Filed Alleging Sales Practice Violations Against Financial Advisor/Broker
Charles Chester Kulch (Charles Kulch) – Customer Dispute Filed Alleging Sales Practice Violations Against Financial Advisor/Broker | Goodman & Nekvasil P.A., May Recover Investor Loss Charles Chester Kulch (Charles Kulch) CRD #2371584 Charles Kulch was a previously licensed financial advisor/broker with NEXT Financial Group, Inc. According to Kulch’s BrokerCheck Report, a customer dispute has been filed alleging sales practice violations …

