Jefferey Dyra – Financial Advisor/Broker Jefferey Dyra Barred from Securities Industry

Jefferey Dyra – Financial Advisor/Broker Jefferey Dyra Barred from Securities Industry | Goodman & Nekvasil P.A., May Recover Investor Losses

Jefferey Dyra CRD #6785909

Jefferey Dyra was a previously licensed financial advisor with Bankers Life Securities, Inc. According to Jefferey Dyra’s CRD, Jefferey Dyra was barred from the securities industry in October 2019.

According to FINRA Allegations:  

Jefferey Dyra consented to the sanction and to the entry of findings that he refused to produce documents and information requested by FINRA during the course of an investigation into whether Jefferey Dyra had misappropriated funds from a customer of an affiliate of Jefferey Dyra’s member firm or otherwise engaged in any misconduct that violated federal securities laws or regulations or FINRA rules.

Goodman & Nekvasil P.A. May Recover Investor Losses

If you lost money on investments with Jefferey Dyra 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 Jefferey Dyra’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. 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 Jefferey Dyra 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.

Jefferey Dyra, Investment Fraud Attorney, Stockbroker Misconduct Disciplinary Actions, Unsuitable Investment Advice, Investment Fraud, Churning, Misrepresentation and Omission of Material Facts, Elder Fraud, Unauthorized Trading, Theft, Selling Away, Unapproved Outside Business, Nationwide, PIABA, SEC, Securities Exchange Commission, NASD, National Association of Securities Dealers, NASDAQ, Dow Jones, Wall Street, New York Stock Exchange, Jefferey Dyra

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