Douglas Anthony Leone (Douglas Leone), Financial Advisor Barred by FINRA | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Douglas Anthony Leone (Douglas Leone), Financial Advisor Barred by FINRA  FINRA reports that Douglas Leone was barred from the securities industry on May 21, 2018. Douglas Leone was licensed with Salomon Whitney Financial from March 2013 until March 2017. FINRA alleges that Douglas Leone engaged in the following misconduct: failed to attend an …

Brian Quimby, Financial Advisor Brian Quimby Suspended by FINRA

Goodman and Nekvasil May Recover Investors Losses | Brian Quimby, Financial Advisor Brian Quimby Suspended by FINRA  Brian Quimby a/k/a Mark Brian Quimby CRD #4893546 Brian Quimby was licensed with Allstate Financial Services, LLC from 2008 to 2014. FINRA reports that Brian Quimby was suspended for three months and fined $10,000.  Brian Quimby consented to the sanctions and to the entry …

Robert C Marrone (Robert Marrone), Financial Advisor Barred by FINRA | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Robert C Marrone (Robert Marrone), Financial Advisor Barred by FINRA  Robert Marrone was licensed with Morgan Stanley from 2009 until 2014. FINRA reports that Robert Marrone was barred from the securities industry in September 2015.  Robert Marrone consented to the sanctions and to the entry of findings that Robert Marrone refused to respond …

Willard Golightly – Financial Advisor Willard Golightly Barred by FINRA

Willard Golightly – Financial Advisor Willard Golightly Barred by FINRA | Goodman and Nekvasil May Recover Investors Losses  Willard Golightly aka Bill Golightly #4395250 FINRA reports that Willard Golightly a/k/a Bill Golightly, was barred indefinitely from any principal capacity.  FINRA reports that Bill Golightly consented to the sanctions and to the entry of findings that he failed to appropriately supervise the …

Tom Abel Puentes, Financial Advisor Suspended by FINRA | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Tom Abel Puentes, Financial Advisor Suspended by FINRA FINRA reports that on November 7, 2016, Tom Puentes, was suspended from association with any FINRA member in any capacity for thirty days and fined $15,000.   FINRA reports Tom Puentes consented to the sanctions and to the entry of findings that Tom Puentes exercised …

Jeffrey Duane Jacobson (Jeffrey Jacobson), Financial Advisor Suspended by FINRA | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Jeffrey Duane Jacobson (Jeffrey Jacobson), Financial Advisor Suspended by FINRA  Reported by FINRA on October 18, 2016, Jeffrey Jacobson, was suspended from association with any FINRA member in principal capacity for fifteen business days and fined $7,500.  Jeffrey Jacobson entered into a Letter of Acceptance, Waiver and Consent with the Financial Industry Regulatory …

William Herman Biegel (William Biegel), Arbitration Claim Filed Involving Financial Advisor | Goodman & Nekvasil P.A., May Recover Investor Losses

Goodman & Nekvasil P.A., May Recover Investor Losses | William Herman Biegel (William Biegel), Arbitration Claim Filed Involving Financial Advisor  William Biegel was licensed with Raymond James & Associates, Inc. from 1997 until 2017. FINRA reports that an arbitration claim was filed involving William Biegel’s conduct with Raymond James & Associates, Inc. This arbitration claim alleges suitability, overconcentration, negligence, common law …

Mark Tauzin, Financial Advisor Suspended by FINRA | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Mark Tauzin, Financial Advisor Suspended by FINRA  Mark Tauzin was suspended from association with any FINRA member in any capacity for eight months and fined approximately $225,000. Mark Tauzin entered into a Letter of Acceptance, Waiver and Consent with the Financial Industry Regulatory Authority (FINRA) Department of Enforcement to resolve allegations FINRA made …

Brad Brooks, Pending FINRA Complaint Involving Financial Advisor

Goodman and Nekvasil May Recover Investors Losses | Brad Brooks, Pending FINRA Complaint Involving Financial Advisor  Brad Brooks, Brad Curtis Brooks CRD #1584633 Reported by FINRA on October 17, 2016, Brad Brooks, was named a respondent in a FINRA complaint alleging that Brad Brooks member firm, acting through him, failed to adequately supervise a registered representative’s outside business activities (OBA). FINRA …

Fernando de la Lama Merinos, Financial Advisor Barred from Securities Industry | Goodman and Nekvasil May Recover Investors Losses

Goodman and Nekvasil May Recover Investors Losses | Fernando de la Lama Merinos, Financial Advisor Barred from Securities Industry Reported by FINRA on October 24, 2016, Fernando de la Lama Merinos, was named a respondent in a FINRA complaint alleging that Fernando De la Lama Merinos failed to provide any response to requests for documents and information related to a FINRA …