Dennis Haywood – Customer Dispute Filed Involving Financial Advisor/Broker | Recover Losses

Dennis Haywood – Customer Dispute Filed Involving Financial Advisor | Goodman & Nekvasil P.A. May Recover Investor Losses

Dennis Haywood CRD #5850275

Dennis Haywood a/k/a Dennis Michael Haywood is a licensed financial advisor with Crown Capital Securities, L.P. Dennis Haywood is also employed with Barndollar Financial and Barndollar Advisory Services, Inc.

According to Dennis Haywood’s BrokerCheck report, a customer dispute has been filed alleging sales practice violations against the financial advisor.

Customer Dispute 3/25/20: The customer alleges a violation of fiduciary and suitability obligations as it relates to the purchase of non-traded REITs, non-traded BDCs and a Variable Annuity contract. They further allege that financial advisor made material misrepresentations about the risks, profitability and liquidity of the investments.

Dennis Haywood Investigation

Customer Dispute Filed Involving Haywood

Goodman & Nekvasil, P.A. May Recover Investor Losses

If you lost any money on investments with Haywood, you may be able to recover your losses. If you lost money on investments with Haywood and believe that 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 the financial advisor’s 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.

Goodman & Nekvasil, P.A. has recovered more than $180 million on behalf of victimized investors. If you lost money on investments with Haywood 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 4/14/2020 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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