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Articles Posted in FINRA Rule 3270

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Deutsche Bank Securities Broker Garrett Neubart Suspended by FINRA – New York, NY

FINRA has suspended Deutsche Bank Securities Inc. broker Garrett Neubart from the securities industry for two months. Mr. Neubart consented to the sanction and to the entry of findings that he engaged in an outside business activity without providing prior written notice to his firm. His suspension is scheduled to…

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Northwestern Mutual Investment Services, LLC Broker Scott Niekamp Suspended by FINRA – Chesterfield, MO

FINRA has suspended broker Scott Niekamp from the securities industry for three months for engaging in two outside business activities without providing prior written notice to his firm, Northwestern Mutual Investment Services, LLC. Additionally, Niekamp loaned money to a firm customer in violation of the firm’s written supervisory procedures and…

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International Assets Broker Ronald Patrick Cameron Suspended by FINRA – Fayetteville, AR

FINRA has suspended International Assets Advisory, LLC broker Ronald Patrick Cameron from the securities industry for five weeks for engaging in an outside business activity without providing prior written notice to his firm. The suspension is scheduled to start on May 17, 2021, and end on June 20, 2021. Cameron…

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Crown Capital Securities, L.P. Broker Kevin Barton Suspended by FINRA – Vista, California

FINRA has suspended Crown Capital Securities, L.P. broker Kevin Barton from the securities industry for four months for engaging in an outside business activity, exercising discretion in customers’ accounts without prior written authorization, and mismarking trades as unsolicited. Barton was also fined $17,500. If you have lost money with Kevin…

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Broker Frank Sapareto, Formerly of Advisory Group Equity Services, Investigated by FINRA

**Update: August 11, 2021** On August 9, 2011, FINRA’s Office of Hearing Offices entered an order barring Frank Sapareto from associating with any FINRA member firm in any capacity for providing false or misleading testimony and written information during a FINRA investigation and for engaging in an undisclosed outside business…

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