Investor Alert: Robert Juan Escobio was disqualified for failing to provide information and documents requested by FINRA

FINRA Sanctions & Allegations of Misconduct

According to his CRD Report, Robert Juan Escobio (CRD #703813) of SOUTHERN TRUST SECURITIES, INC. (CRD#:103781) in Coral Gables, Florida failed to provide information and documents requested by FINRA during an investigation into whether he continued to associate with a FINRA member firm while he was statutorily disqualified and failed to appear and provide on-the-record testimony to FINRA regarding his potential ongoing association with the firm despite his statutory disqualification.

Robert Escobio has other complaints of wrongdoing reported on his regulatory file

The CRD Reports of Rob Escobio includes the disclosure of at least five (5) customer complaints, most of which were settled for substantial sums. These types of complaints are serious red flags that evidence a pattern of unsuitable investment recommendations in order to generate commissions and income for themselves, at the expense of their clients.

Investors Have the Right to Recover Their Losses

When investments are sold by brokerage firms licensed by FINRA, they are subject to the laws that FINRA enforces. The brokerage firms are responsible for ensuring that their brokers are trading fairly, ethically and in the best interest of their clients. Ideally, they would accomplish this through careful supervision. Unfortunately, too often this supervision has been inadequate to fully protect investors. If you purchased any investments through a representative of a registered brokerage firm and suffered losses through negligence or fraud, it immediately puts the brokerage firm at fault for failing to supervise their broker. FINRA law then dictates that you can hold the firm legally liable to recover your damages.

Can I recover my investment losses?

If you lost a substantial portion of your retirement savings or other assets as a result of investments purchased through Robert Juan Escobio or SOUTHERN TRUST SECURITIES, INC., please contact us immediately. Our investment fraud lawyers have recovered millions of dollars from the largest banks, insurance companies, and brokerage firms in the world on behalf of investment fraud victims. You may have certain legal rights that require your immediate attention. Time is of the essence in these claims. The sooner you act, the greater your chances of recovering your investment losses. Don't wait. Contact us TODAY for a FREE Consultation and case evaluation. We will tell you if you have a viable claim worth pursuing.