Joe Notarfrancesco Involved in Real Estate Fund Dispute
Joe Notarfrancesco (CRD# 6006136), a broker registered with Morgan Stanley, recommended an outside investment that failed to make payments, according to an investor dispute. MDF Law is investigating the Melville, New York-based financial professional for similar conduct. Investors with concerns about their accounts should contact our team for a free consultation. To learn more about […]
Robert DeChick Allegedly Over-Concentrated Investments
Robert DeChick (CRD# 4152582), a broker registered with D.H. Hill Securities, misrepresented and recommended unsuitable investments, according to investor disputes. MDF Law is currently investigating the Clemont, Florida financial professional, who does business as Courtland/Walker Financial Group, for similar conduct. Contact us if you have concerns about your investments. To learn more about Mr. DeChick’s […]
Robert Blake Allegedly Sold Unsuitable Real Estate Investment
Robert Blake (CRD# 22955), formerly a broker registered with Cambridge Investment Research, recommended unsuitable investments, according to investor disputes. MDF Law is investigating the former Greenwood Village-based financial professional for similar conduct. We encourage investors to reach out for a free consultation if they have any complaints. To learn more about the allegations against Mr. […]
John Marcheso Embroiled in Oil & Gas Dispute
John Marcheso (CRD# 869337), a broker registered with Centaurus Financial, is involved in investor disputes seeking more than $1 million in cumulative damages. MDF Law is investigating the Hayden, Idaho-based financial professional for activities similar to those alleged in the disputes. Investors with concerns should contact us immediately. The following post details the allegations listed on […]
Todd Blessing: CUSO Settles Allegations Against Cincinnati Broker
Todd Blessing (CRD# 4369846), a broker registered with CUSO Financial Services, recommended an unsuitable real estate investment, according to an investor dispute. MDF Law is currently investigating the Cincinnati-based financial professional for allegations of similar conduct. Investors with complaints can contact us for a free consultation. This post is based on an October 29, 2023 […]
Securities Regulators Alleged Jesse Webb Engaged in Dishonest Behavior – Dishonest or Unethical Conduct
Jesse Webb (CRD# 2298761) allegedly engaged in “dishonest or unethical behavior in the securities industry” that resulted in the denial of his registration application by state regulators. According to his Financial Industry Regulatory Authority (FINRA) BrokerCheck report, last accessed on December 8, 2021, Mr. Webb is currently a representative of Ameriprise Financial Services in The […]