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Stock Fraud Lawyer | Securities Arbitration Attorneys| Furgison Law Group
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Stock Fraud Lawyer | Securities Arbitration Attorneys| Furgison Law Group

We help investors recover losses due to fraud, negligence, misrepresentations, omissions, breach of fiduciary duty, conflicts of interest and other broker misconduct in FINRA securities arbitrations. Call Us Today for Free Case Evaluation!

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News and Investor Alerts on investment scams, financial adviser fraud and other stockbroker misconduct.

Stock Fraud Lawyer | Securities Arbitration Attorneys| Furgison Law Group
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Firm News


November 07, 2019

Investor Alert: Planmember Securities Corporation was censured and fined $90,000 for failing to supervise variable annuity exchanges

November 07, 2019/ Jon Furgison
Investor Alert: Planmember Securities Corporation was censured and fined $90,000 for failing to supervise variable annuity exchanges

Furgison Law Group is considering potential claims against Planmember Securities Corporation related to alleged misconduct by Sean Patrick Haley.

Read More
November 07, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Planmember Securities Corporation
November 07, 2019

Investor Alert: CV Brokerage, Inc was censured and fined $100,000 for failure to supervise

November 07, 2019/ Jon Furgison
Investor Alert: CV Brokerage, Inc was censured and fined $100,000 for failure to supervise

Furgison Law Group is considering potential claims against CV Brokerage, Inc.related to alleged misconduct by Brenda Smith and William Thomas McCormack.

Read More
November 07, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
CV Brokerage, Brenda Smith, William Thomas McCormack
October 17, 2019

Investor Alert: FINRA banned Merrill Lynch advisor Kajo Movsesian for failing to follow FINRA rules

October 17, 2019/ Jon Furgison
Investor Alert: FINRA banned Merrill Lynch advisor Kajo Movsesian for failing to follow FINRA rules

The securities fraud lawyers at Furgison Law Group are currently investigating claims against Merrill Lynch related to possible misconduct by Kajo Movsesian.

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October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Kajo Movsesian, Merrill Lynch
October 17, 2019

Investor Alert: FINRA fined Michael Milad Tanha $15,000 fine, plus a 10 month suspension

October 17, 2019/ Jon Furgison
Investor Alert: FINRA fined Michael Milad Tanha $15,000 fine, plus a 10 month suspension

The securities fraud lawyers at Furgison Law Group are currently investigating claims against Merrill Lynch related to possible misconduct by Michael Milad Tanha.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Michael Milad Tanha
October 17, 2019

Investor Alert: FINRA fine Ronald Richard Blasczyk $10,000, plus 15 day suspension

October 17, 2019/ Jon Furgison
Investor Alert: FINRA fine Ronald Richard Blasczyk $10,000, plus 15 day suspension

The securities fraud lawyers at Furgison Law Group are currently investigating claims against Wells Fargo related to possible misconduct by Ronald Richard Blasczyk.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Ronald Richard Blasczyk, Wells Fargo
October 17, 2019

Investor Alert: FINRA fined Steven Paul Cooper $5,000, plus 2 months suspension

October 17, 2019/ Jon Furgison
Investor Alert: FINRA fined Steven Paul Cooper $5,000, plus 2 months suspension

The securities fraud lawyers at Furgison Law Group are currently investigating claims against UBS Financial Services and Edward Jones related to possible misconduct by Steven Paul Cooper.

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October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Steven Paul Cooper
October 17, 2019

Investor Alert: FINRA Suspended Nicholas Bougopoulos for 2 months for not responding to FINRA request for information

October 17, 2019/ Jon Furgison
Investor Alert: FINRA Suspended Nicholas Bougopoulos for 2 months for not responding to FINRA request for information

Furgison Law Group is considering potential claims against Wells Fargo Securities, LLC related to alleged misconduct by Nicholas Alec Bougopolos.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Wells Fargo, Nicholas Alec Bougopoulos
October 17, 2019

Investor Alert: FINRA Barred Kevin Michael Won Lee indefinitely for not following FINRA Rules

October 17, 2019/ Jon Furgison
Investor Alert: FINRA Barred Kevin Michael Won Lee indefinitely for not following FINRA Rules

Furgison Law Group is considering potential claims against AXA Advisors and J.P. Morgan Securities LLC related to alleged misconduct by Kevin Michael Won Lee.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
J.P. Morgan Securities LLC, AXA Advisors, Kevin Michael Won Lee
October 17, 2019

Investor Alert: FINRA Barred John L. Torres indefinitely for not following FINRA rules

October 17, 2019/ Jon Furgison
Investor Alert: FINRA Barred John L. Torres indefinitely for not following FINRA rules

Furgison Law Group is considering potential claims against J.P. Morgan Chase Bank and JP Morgan Securities related to alleged misconduct by John L. Torres.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
J.P. Morgan Chase Bank
October 17, 2019

Investor Alert: FINRA Barred Bryan Wesley Andrzejewski permanently for not following FINRA rules

October 17, 2019/ Jon Furgison
Investor Alert: FINRA Barred Bryan Wesley Andrzejewski permanently for not following FINRA rules

Furgison Law Group is considering potential claims against Dean Bradley Osborne Partners, LLC and Morgan Stanley related to alleged misconduct by Bryan Wesley Andrzejewski.

Read More
October 17, 2019/ Jon Furgison/
Special Investigaiton, FINRA Disciplinary Action
Dean Bradley Osborne Partners LLC, Bryan Wesley Andrzejewski, Morgan Stanley
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Stock Fraud Lawyer | Securities Arbitration Attorneys| Furgison Law Group

The Furgison Law Group represents retail and institutional investors around the world in securities arbitration and litigation. The firm represents clients before the Financial Industry Regulatory Authority (FINRA) [formerly the National Association of Securities Dealers (NASD)], the American Arbitration Association (AAA) and in numerous state and federal courts to resolve financial disputes between customers, financial advisers, banks, brokerage firms and other financial institutions. 

Our firm has represented litigants in state and federal courts in California and across the country in a variety of business and professional liability disputes, including complex litigation and cases involving sophisticated theories of fraud, misrepresentations and omissions, professional negligence and breach of fiduciary duty. 

Our headquarters are in Southern California, but we have a network of associate attorneys that allow us to serve clients from across the country and around the world.

We have recovered millions of dollars in investment losses for our clients and we look forward to helping you.

(310) 356-6890

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Furgison Law Group, PC     (310) 356-6890 
315 S. Beverly Drive, Suite 315, Beverly Hills, CA 90212
26901 Agoura Rd, Suite 180, Agoura Hills, CA 91301 (By appointment only)

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