Christopher Simonds – Financial Advisor/Broker Christopher Simonds Barred from Securities Industry | Goodman & Nekvasil P.A., May Recover Investor Losses
Christopher Simonds CRD #6636374
Christopher Simonds was a previously licensed financial advisor with Edward Jones. According to Christopher Simonds’s BrokerCheck report, Christopher Simonds was barred from the securities industry in November 2018.
According to FINRA Allegations: Christopher Simonds failed to respond to FINRA request for information.
According to Christopher Simonds’ BrokerCheck Report: A customer dispute alleging sales practice violations was previously field. The client alleges Christopher Simonds failed to follow instructions to liquidate an account on January 22, 2018, resulting in 57,000 in market loss. This customer dispute was settled for $49,875.89.
Goodman & Nekvasil P.A. May Recover Investor Losses
If you lost money on investments with Christopher Simonds and believe the investments may have been unsuitable or otherwise improper for you, we would like to discuss the possibility of your retaining our firm to represent you in an arbitration action concerning Christopher Simonds’ conduct. There is no charge for an evaluation of your case. Further, we handle our cases on a contingency fee basis. This means that unless we recover money for you, we charge no attorney’s fee. Unless you recover any money, you pay us nothing, not even the costs and expenses which the firm will advance on your behalf.
Kalju Nekvasil, Esq., formerly regional counsel with the NASD, now known as FINRA, has practiced in this area of the law for more than 35 years. Goodman & Nekvasil, P.A. has recovered more than $180 million on behalf of victimized investors. If you lost money on investments with Christopher Simonds and would like your case evaluated by a securities attorney (again, there is no charge for an evaluation and all cases are handled on a purely contingency fee basis), please contact us.
Some of the information in this blog post was obtained on 12/17/2019 directly from FINRA BrokerCheck, without any changes. If you believe this information was reported incorrectly, please contact our firm at 1-800-500-4442.
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