Broker’s Toxic Strategy lost nearly two-thirds of irreplaceable retirement savings -Claim Alleges
By a
In the claim filed with
Claimant, who had spoken with the broker about her financial distress, had sold her
The Claim contends that the broker had a disciplinary history of two prior allegations at two prior firms for improperly exercising discretion in customer accounts without written authority from them and approval from the brokerage firm. These allegations included a high turnover rate; excessive transactions; high rate of commissions; and multiple trades in securities with a high risk of substantial loss.
"These circumstances warranted heightened supervision. Instead, Respondent turned a blind eye to the broker's unsuitable activities, breaching its
Investors who recovered losses in recent months have praised the Mark Tepper Law firm for its work in representing their claims. For a free case evaluation from the Mark A. Tepper law firm, email attorney
About
Attorney Mark A. Tepper is the former Chief Trial Counsel at the
Keywords for this news article include: Legal Issues,
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