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Wells Fargo Advisors Financial Network (“Wells Fargo Advisors”) (CRD# 11025) has many different complaints filed by FINRA (Financial Industry Regulatory Authority), state regulatory organizations, and investors such as yourself. At the Law Offices of Robert Wayne Pearce, we have investigated Wells Fargo Advisors, its regulatory and customer complaints, and have also represented investors with claims of fraud, negligence, and breach of fiduciary duty against this organization and its financial advisors.

If you believe you have a claim against Wells Fargo Advisors, you should strongly consider hiring an investment fraud lawyer. You should not wait until it’s too late to file a claim. The Law Offices of Robert Wayne Pearce, P.A., offers free consultations. Give us a call at 800-732-2889. Let’s discuss your case and see what we can do to help you get the compensation you need and deserve.

Can I Sue Wells Fargo Advisors?

If you’ve lost money caused by Wells Fargo Advisors and/or its employees’ misconduct then the answer is, YES, you can sue Wells Fargo Advisors but the odds are you signed away your right to sue in court and agreed to resolve your dispute in a FINRA arbitration proceeding. Attorney Robert Wayne Pearce has over 40 years of personal experience in FINRA arbitration proceedings and knows very well how you can not only sue Wells Fargo Advisors in FINRA arbitration proceedings, but WIN that arbitration. The easiest way to know if you have a viable case against Wells Fargo Advisors is to call Attorney Pearce at our office at 800-732-2889.

Investment Losses? We Can Help

Discuss your legal options with an attorney at The Law Offices of Robert Wayne Pearce, P.A.

Get A Free Consultation

or, give us a ring at (800) 732-2889.

Robert Pearce

What is Wells Fargo Advisors?

Wells Fargo Advisors (CRD# 11025) is a registered broker-dealer. It operates as a full-service independent broker-dealer, providing a range of financial products and services to individual investors and financial advisors.

As a registered broker-dealer, Wells Fargo Advisors is subject to regulations and oversight by the Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA). It is required to comply with industry standards and regulations to ensure the protection of its clients’ interests.

A failure to comply with industry standards by either its brokers or the firm itself can result in disciplinary actions, fines, or other penalties imposed by regulatory authorities.

Wells Fargo Advisors Has Many Different Regulatory Problems 

Wells Fargo Advisors’ rapid growth has not been without consequences. There have been approximately 30 state and self-regulatory body disclosure events; that is, final and formal proceedings initiated by a regulatory authority (e.g., a state or federal securities agency like the U.S. Securities and Exchange Commission (SEC) or self-regulatory body like the Financial Industry Regulatory Authority (FINRA) for a violation(s) of investment-related rules or regulations. In addition, there have been hundreds of customer complaints filed against Wells Fargo Advisors for misconduct by its securities sales and investment advisory representatives that are not reported by the firm on its Central Depository Record. 

We have reported and written about these regulatory problems and customer complaints over many years. Wells Fargo Advisors is a repeat offender: there are over 30 FINRA-reported disciplinary proceedings citing the firm with one form of supervisory lapses or another.

A Brief Overview of Some of the Regulatory Problems Wells Fargo Advisors Has Faced Over the Years*

Wells Fargo Advisors has been repeatedly censured, warned, and fined multi-millions of dollars for its own misconduct and failure to supervise its army of financial advisors.* A few of the notable FINRA Sanctions for its Supervisory Failures are below:

$2 Billion Settlement in Fake Account Scandal

Brief overview: Wells Fargo faced allegations of misleading investors about its rampant sales practice complaints, resulting in a $2 billion settlement. The SEC charged former CEO and Chairman John Stumpf for providing misleading statements about Wells Fargo Community Bank’s “cross-sell” strategy, which involved selling unnecessary and unused financial products to existing customers. The SEC also initiated litigation against Carrie Tolstedt, the former head of Wells Fargo Community Bank, for misrepresenting the cross-selling strategy as a measure of financial success. Wells Fargo previously settled for $500 million in February 2020 and paid a total of $3 billion for misleading millions of customers over 15 years by opening fake accounts and engaging in fraudulent practices.

Broker Barred for Complaint Alleging Misappropriation of Client Funds

Brief overview: Former Wells Fargo broker Tyler Rigsbee was barred by FINRA for allegedly misappropriating client funds. An internal review by Wells Fargo found evidence that Rigsbee transferred client funds from Wells Fargo to a third-party broker-dealer and then to his personal bank account without permission. When FINRA requested documents and information regarding the matter, Rigsbee failed to comply, violating FINRA rules and resulting in his association ban. Details about the customers affected by the alleged misappropriation were not provided.

$1.4 Million Penalty for Unsuitable Variable Annuity Complaint

Brief overview: Wells Fargo faced regulatory action for its failure to supervise representatives who recommended unsuitable variable annuity switches to approximately 100 customers. Between 2011 and 2016, Wells Fargo representatives made at least 101 potentially unsuitable switches, resulting in customers paying surrender fees and substantial new sales charges. Despite requirements to conduct supervisory reviews and send switch letters to confirm customer understanding, Wells Fargo failed to meet these obligations. The unsuitable recommendations caused customers to incur unnecessary fees, resulting in a total of $1,445,167.50. FINRA ordered Wells Fargo to pay $1.4 million in restitution to affected customers and imposed $657,000 in fines for supervisory failures.

Unsuitable Investments

Brief overview: In October 2017, Wells Fargo Advisors faced allegations of recommending unsuitable investments to investors. Securities representatives at the firm were found to be pushing customers to purchase risky volatility-linked exchange traded funds (ETFs) without considering their individual profiles or risk tolerance. As a result, Wells Fargo Advisors was ordered to pay $3,411,478.78 in financial restitution to affected investors.

Failure to Adequately Maintain Customer Records

Brief overview: In December 2016, it was determined by FINRA that Wells Fargo Advisors had failed to maintain over 1.5 million critical customer documents in a non-erasable format, as required by securities industry rules. Due to the loss of these records, certain terms and conditions agreed upon by investors were no longer accessible. Wells Fargo Advisors agreed to pay a fine of $1,500,000 without admitting or denying any wrongdoing.

Failure to Obtain and Secure Relevant Customer Information

Brief overview: In December 2016, Wells Fargo Advisors was found to have failed in obtaining and recording certain investment holdings that some clients had outside of the firm. This lack of information made it difficult for brokers to recommend truly suitable investment opportunities. As a result, the brokerage firm was censured and fined $1,000,000 for this misconduct.

Broker Negligence: Misrepresentation and Omission of Material Facts

Brief overview: In August 2014, a FINRA arbitration panel awarded a Wells Fargo Advisors client $195,000 in financial compensation. The panel determined that a securities representative from Wells Fargo Advisors had misrepresented and omitted material facts regarding a municipal bond investment. The client suffered significant investment losses as a result of this misconduct.


*Above are only some of the regulatory disciplinary actions filed against Wells Fargo Advisors by FINRA. NASSA and other state securities regulator investigations and enforcement actions account for another 30 BrokerCheck disclosures.

Wells Fargo Advisors Customer Complaints

There have been scores of customer complaints filed against Wells Fargo Advisors stockbrokers and investment advisors over the years. We have launched many investigations of current and former Wells Fargo Advisors advisors:

  1. Regan Rohl of Wells Fargo Advisors Financial Network, LLC
  2. David White of Wells Fargo Cleaning Services, LLC
  3. Andrew Vitek of Janney Montgomery Scott, LLC
  4. Herbert Hafen of Wells Fargo
  5. James Seijas of Wells Fargo
  6. Kevin Schaefer of Wells Fargo Clearing Services, LLC
  7. Richard Bernstein of Wells Fargo Clearing Services, LLC
  8. Jason Jaynes of Wells Fargo Clearing Services, LLC
  9. Brian Jackson of Wells Fargo Clearing Services, LLC
  10. Henry Krich of Wells Fargo Clearing Services, LLC
  11. Harold Weber of Aegis Capital
  12. Frank Nickey of CUSO Financial Services L.P.
  13. David Frankel of National Asset Management, Inc.
  14. Daniel Pimental of Wells Fargo Advisors
  15. Charles Christiansen of Wells Fargo Clearing Services
  16. Gordon Bryan of Ameriprise Financial Services, LLC
  17. James Alioto of Raymond James Associates
  18. Patricia Bebber of Wells Fargo Clearing Services, LLC
  19. Russell Blum of International Assets Advisory, LLC
  20. Paul Akre of Merrill Lynch
  21. Michael Hickey of Wells Fargo Clearing Services
  22. Karen Higgins of Ameriprise Financial Services
  23. Adam Summers formerly with LaSalle St Securities, LLC
  24. Artemio Mercado of Wells Fargo Clearing Services, LLC
  25. Arthur Faren of Truist Investment Services, Inc.
  26. Aubrey Parker of Wells Fargo Clearing Services, LLC
  27. Brett Bellcase of Wells Fargo Clearing Services, LLC
  28. Brian Summers formerly with LaSalle St. Securities, LLC
  29. Guilherme Sahadi of Wells Fargo Clearing Services
  30. Hung Sam formerly with Wells Fargo Clearing Services
  31. Daniel Sebastian Formerly With Wells Fargo Clearing Services
  32. Kurt Sharp of Ameriprise Financial Services
  33. Joseph Shimko formerly with Merrill Lynch Pierce Fenner & Smith
  34. Daniel Smith of Wells Fargo Clearing Services
  35. Louis Taylor of Wells Fargo Clearing Services
  36. Archie Thompson of Synovus Securities
  37. Michael Fahsholtz Formally With Stifel, Nicolaus & Co.
  38. Thomas Tonkovich of Morgan Stanley
  39. James Watson of Wells Fargo Clearing Services
  40. Apostolos Pitsironis of Janney Montgomery Scott
  41. Sam Aziz of David A. Noyes & Company
  42. Matthew Perry of Stifel, Nicolaus & Company, Inc
  43. Adam Elgert of Wells Fargo Clearing Services
  44. Alan Fishman of Wells Fargo Clearing Services
  45. Joseph Hunt of Merrill Lynch Pierce Fenner & Smith
  46. Ricardo Guimaraes of Morgan Stanley
  47. Hollis Jefferies of Wells Fargo Clearing Services
  48. Mark James of J.P. Morgan Securities
  49. Jeremy Kientz of Wells Fargo Clearing Services
  50. Colby King of Wells Fargo Clearing Services
  51. Daniel Kroll of Wells Fargo Clearing Services
  52. Adam MacDonald of First Republic Securities
  53. Justin Lotano of Wells Fargo Clearing Services
  54. Charles Turner of LPL Financial LLC
  55. Steven Urosevich of Wells Fargo Clearing Services
  56. Matthew Walker of Wells Fargo Clearing Services
  57. Rafael Menier of Wells Fargo Clearing Services
  58. Melissa Minikes of Wells Fargo Advisors Financial Network
  59. Fernando Panizzutti of Wells Fargo Clearing Services
  60. Jose Parker of Morgan Stanley
  61. Michael Pope of Wells Fargo Clearing Services
  62. Megan Phillips of D.A. Davidson
  63. Taylor Powell of DFPG Investments
  64. Steven Polk of Wells Fargo Clearing Services
  65. Sharaff Rathur of Wells Fargo Clearing Services
  66. Sean Reardon of Wells Fargo Clearing Services
  67. Reed Rubin of Wells Fargo Clearing Services
  68. Ronald Reilly Of Wells Fargo Clearing Services
  69. Donald Rich Of Wells Fargo Clearing Services
  70. Clinton Tighe Of Wells Fargo Clearing Services
  71. James Stein of Wells Fargo Clearing Services
  72. George Venizelos of Wells Fargo Clearing Services
  73. Roger Vlach formerly with RBC Capital Markets
  74. Jerry Adam of The Leaders Group
  75. William Horan of Ameriprise Financial Services
  76. Thomas Hunt of LPL Financial
  77. Marc Alport of Wells Fargo Clearing Services
  78. Evan Wuhl Of Wells Fargo Clearing Services
  79. Lawrence Anderson of Wells Fargo Advisors Financial Network
  80. Joseph Andreoli of Raymond James & Associates
  81. Joseph Aldi Of Wells Fargo Clearing Services
  82. James Arness of Wells Fargo Clearing Services
  83. Yan Binder of Morgan Stanley
  84. Lary Bloom of Wells Fargo Clearing Services
  85. Mark Bluestein of Wedbush Securities
  86. Catherine Bartle Formerly With Wells Fargo Clearing Services
  87. Alexander Batt of Wells Fargo Advisors Financial Network
  88. Steven Bonavita of Wells Fargo Clearing Services
  89. Clifford Bryan of Benjamin F. Edwards & Company
  90. Jeffrey Burton of Wells Fargo Advisors Financial Network
  91. Jeffrey Carter of Raymond James Financial Services
  92. Bain Chadsey formerly with Wells Fargo Clearing Services
  93. Fabian Chichester of Wells Fargo Clearing Services
  94. Stephen Von Clausburg of Wells Fargo Clearing Services
  95. Mary Cobb of Wells Fargo Clearing Services
  96. Jonathan Lake of Wells Fargo Clearing Services
  97. David Leblond of Wells Fargo Clearing Services
  98. Christopher Cochrane of Wells Fargo Clearing Services
  99. Ralph Melfi of Allstate Financial Services
  100. Richard Coronel of Wells Fargo Clearing Services
  101. Mark Conway of Wells Fargo Clearing Services
  102. Marcus Parker of Wells Fargo Clearing Services
  103. Michael Ovitt of RBC Capital Markets
  104. Matthew Quall of Raymond James Financial Services
  105. Robert Powers of Wells Fargo Clearing Services
  106. Corey Engelhard of Morgan Stanley
  107. Vincent Fiorentino of Wells Fargo Clearing Services
  108. John Foery of Wells Fargo Clearing Services
  109. Patrick Gaitens of Wells Fargo Clearing Services
  110. Alfonso Gialanella of Wells Fargo Clearing Services
  111. Keith Goldstein of Wells Fargo Clearing Services
  112. Matthew Gordon of Wells Fargo Clearing Services
  113. Scott Gordon of Wells Fargo Advisors Financial Network
  114. Douglas Goss Formerly With Wells Fargo Clearing Services
  115. Irwin Davidson of Wells Fargo Clearing Services
  116. Jay Gravley Formerly With Wells Fargo Advisors
  117. Ricardo Harmsen of Cantella & Co.
  118. Christopher Harper of Wells Fargo Clearing Services
  119. Robert Hart of Morgan Stanley
  120. Joseph Diller of Wells Fargo Clearing Services
  121. Brian Kalamar of Wells Fargo Clearing Services
  122. Paula Kalandiak of Wells Fargo Clearing Services
  123. Michael Hartman of Wells Fargo Clearing Services
  124. John Hoekman formerly with Wells Fargo Clearing Services
  125. David Heide of RBC Capital Markets
  126. Prince Lankford of Wells Fargo Clearing Services
  127. Anthony Lapia of Wells Fargo Clearing Services
  128. David Logsdon of Wells Fargo Clearing Services
  129. Alan Lewis of Wells Fargo Clearing Services
  130. Vladislav Madatov of Wells Fargo Clearing Services
  131. Edward Moffitt of Wells Fargo Clearing Services
  132. William Moore of Janney Montgomery Scott
  133. Kevin Mounkes of Wells Fargo Clearing Services
  134. Lester Noisom of Raymond James Financial Services
  135. David Nelson of Wells Fargo Clearing Services
  136. Thomas Oley of Wells Fargo Clearing Services
  137. Frank Ortiz of Wells Fargo Clearing Services
  138. Richard Martinson of Raymond James Financial Services
  139. John McCarthy of Wells Fargo Clearing Services
  140. Peter McColgan of Wells Fargo Clearing Services
  141. Michelle Parker Formerly With Wells Fargo Clearing Services
  142. Gregory Pease Formerly With International Assets Advisory
  143. Massimo Romano of Wells Fargo Clearing Services
  144. Robert Schultz of Wells Fargo Clearing Services
  145. Tracy Randle of Wells Fargo Clearing Services
  146. Scott Pugan of Wells Fargo Clearing Services
  147. Paul Porter of Wells Fargo Clearing Services
  148. Michael Piccolo of Wells Fargo Clearing Services
  149. Charles Shields of Wells Fargo Clearing Services
  150. Steven Seimears of Ameriprise Financial Services
  151. Tim Ridley of Wells Fargo Clearing Services
  152. Serge Suleimani of Wells Fargo Clearing Services
  153. John Weber of Wells Fargo Advisors Financial Network
  154. Vincent Weir of Wells Fargo Clearing Services
  155. William Wickham of Wells Fargo Clearing Services
  156. Michael Wilhelm of Wells Fargo Clearing Services
  157. Wesley Wong of Wells Fargo Advisors Financial Network
  158. Joe Abbott of Wells Fargo Clearing Services
  159. Justin Bailey of Nationwide Investment Services
  160. Matthew Biggie of Wells Fargo Clearing Services
  161. Michael Cormier of RBC Capital Markets
  162. Charles Fenner of Wells Fargo Clearing Services, LLC
  163. Christopher Hughes formerly with Wells Fargo Clearing Services, LLC
  164. Bruce Roberts of Wells Fargo Clearing Services, LLC
  165. Charles Mannel of Wells Fargo Clearing Services, LLC
  166. Charles Lanzillotto formerly with Wells Fargo Clearing Services, LLC
  167. Christopher Black formerly with LPL Financial LLC
  168. Christopher Hill of Wells Fargo Clearing Services, LLC
  169. Christopher Lein of Wells Fargo Advisors Financial Network, LLC
  170. Corey Owen formerly with Wells Fargo Clearing Services, LLC
  171. Corydon Wheat of Wells Fargo Clearing Services, LLC
  172. Daniel Luna of Wells Fargo Clearing Services, LLC
  173. Daniel Torres formerly with Wells Fargo Clearing Services, LLC
  174. Daniel Madura of Wells Fargo Clearing Services, LLC
  175. David Sager of Wells Fargo Clearing Services, LLC
  176. David De Nitto of Wells Fargo Clearing Services, LLC
  177. Dennis Goldy formerly with Wells Fargo Clearing Services LLC
  178. Denny Chu of formerly with J.P. Morgan Securities LLC
  179. Dmitry Matousov of Wells Fargo Clearing Services, LLC
  180. Douglas Allen of LPL Financial LLC
  181. Elad Rahamim of Wells Fargo Clearing Services, LLC
  182. Eric Moreno of UBS Financial Services Inc.
  183. Eric Harding formerly with United Planners’ Financial Services of America A Limited Partner
  184. Florindo Volpacchio formerly with Oppenheimer & Co. Inc.
  185. Frank Olender of Wells Fargo Clearing Services, LLC
  186. Fred Berens of Oppenheimer & Co. Inc.
  187. Garth Allan of UBS Financial Services Inc.
  188. George Clayton of Wells Fargo Clearing Services, LLC
  189. Gerald Kessler formerly with Wells Fargo Clearing Services, LLC
  190. Glen Wilk of Ameriprise Financial Services
  191. Grant Birkley formerly with Sagepoint Financial, Inc.
  192. Gregory Duncan-Peters of Wells Fargo Clearing Services LLC
  193. Gilherme Sahadi of BTG Pactual US Capital LLC
  194. Henry Hernandez of UBS Financial Services Inc.
  195. Herbert Weith, IV formerly with Equitable Advisors, LLC
  196. Jamie Lloyd of Wells Fargo Clearing Services, LLC
  197. Jason Zoch of Morgan Stanley
  198. Jean-Pierre Fernandez of Wells Fargo Clearing Services, LLC
  199. Jeffrey Oliverio of Truist Investment Services, Inc.
  200. Joe Gainer, Jr. formerly with Wells Fargo Clearing Services, LLC
  201. John Kellar of Wells Fargo Advisors Financial Network, LLC
  202. Jerry Holcomb formerly with Wells Fargo Clearing Services, LLC
  203. John Ter-Oganesyan of Wells Fargo Clearing Services LLC
  204. John Arensdorf of Wells Fargo Clearing Services, LLC
  205. John Donovan, Jr. of Wells Fargo Clearing Services, LLC
  206. Jorge de Apodaca III of Insigneo Securities LLC
  207. Joseph Pratt formerly with Stifel, Nicolaus & Company, Incorporated
  208. Juan Ley of Wells Fargo Clearing Services, LLC
  209. Kevin Broderick of Bankers Life Securities, Inc.
  210. Kevin Scott of Ameriprise Financial Services, LLC
  211. Larry Tarleton of Wells Fargo Clearing Services, LLC
  212. Lauchie Martin, III of Ameriprise Financial Services, LLC
  213. Leif Olson of Wells Fargo Clearing Services, LLC
  214. Lester Dennis of Merrill Lynch, Pierce, Fenner & Smith Incorporated
  215. Lily Pryce of Wells Fargo Clearing Services, LLC
  216. Lisa Thorpe of Wells Fargo Clearing Services, LLC
  217. Louis Pietig, II of Northwestern Mutual Investment Services, LLC
  218. Luis Vivas-Sardi of Miura Capital, LLC
  219. Lynn Michael formerly with First Citizens Investor Services, Inc.
  220. Mara Schainuck of Morgan Stanley
  221. Mark Hebert formerly with Deutsche Bank Securities Inc.
  222. Matthew Macek formerly with LPL Financial LLC
  223. Matthew Smith of Wells Fargo Clearing Services, LLC
  224. Michael Walker formerly with Wells Fargo Clearing Services, LLC
  225. Mitchel Maldonado Lopez of Wells Fargo Clearing Services, LLC
  226. Patrick Callaghan of Wells Fargo Clearing Services, LLC
  227. Paul Haberek, Jr. of Wells Fargo Clearing Services, LLC
  228. Peter Ianace formerly with Wells Fargo Clearing Services, LLC
  229. Richard Schultz formerly with Stifel, Nicolaus & Company, Incorporated
  230. Richard Coronel of Wells Fargo Clearing Services, LLC
  231. Robert Eberst, Jr. of LPL Financial LLC
  232. Robert Buckman of Pruco Securities, LLC
  233. Ronald Nagy of Wells Fargo Clearing Services, LLC
  234. Russell Chaney of Wells Fargo Clearing Services, LLC
  235. Ryan Stevens of Ameriprise Financial Services, LLC
  236. Scott Kaminsky of Janney Montgomery Scott LLC
  237. Scott Reed formerly with First Financial Equity Corporation
  238. Sheila Spicehandler of Wells Fargo Advisors Financial Network, LLC
  239. Steven Melton of Wells Fargo Clearing Services, LLC
  240. Steven Earl of Wells Fargo Advisors Financial Network, LLC
  241. Terrence Volk of Wells Fargo Clearing Services, LLC
  242. Theodore Rich of D.A. Davidson & Co.
  243. Thomas Kieffer formerly with Ceros Financial Services, Inc.
  244. Thomas Swan of Western International Securities, Inc.
  245. Richard DeYoung, Jr. of LPL Financial LLC
  246. Tracy Raynor of Ameriprise Financial Services, LLC
  247. Travis Johnson of Wells Fargo Clearing Services, LLC
  248. Wilber Aguirre of Merrill Lynch, Pierce, Fenner & Smith Incorporated
  249. William Lewis of Wells Fargo Advisors Financial Network, LLC
  250. George Cairnes of Wells Fargo Clearing Services, LLC
  251. Yuting Cheng of Wells Fargo Clearing Services, LLC
  252. Ryan Culpepper of Wells Fargo Clearing Services, LLC
  253. Elinar Deghbashyan of NYLife Securities LLC
  254. Matthew Kutcher of Wells Fargo Clearing Services, LLC
  255. Donald Laurence, Jr. formerly with Raymond James & Associates, Inc.
  256. King Cavalier of Raymond James Financial Services, Inc.
  257. Lawrence Burke of Wells Fargo Clearing Services, LLC
  258. Adam Marquardt formerly with Cetera Advisors LLC
  259. David Mulford formerly with J.P. Morgan Securities LLC
  260. James Paige of Wells Fargo Clearing Services, LLC
  261. Larry Schwartzman of Oppenheimer & Co. Inc.
  262. Stanley Smith of Wells Fargo Clearing Services, LLC
  263. Mickey Yablans of Wells Fargo Clearing Services, LLC
  264. Michael Chapman of Wells Fargo Clearing Services, LLC
  265. John Enright of Wells Fargo Clearing Services, LLC
  266. Brieane Kelley of Wells Fargo Clearing Services, LLC
  267.  Michael Levine of Wells Fargo Clearing Services, LLC
  268. Bryan Musso formerly with Wells Fargo Clearing Services, LLC
  269.  Boris Niko of Ameriprise Financial Services, LLC
  270. Joseph Randolph of Wells Fargo Clearing Services, LLC
  271. Richard Rogers, Jr formerly with Wells Fargo Clearing Services, LLC
  272. Jordan Samelson of Wells Fargo Clearing Services, LLC
  273. Alex Stolper of Wells Fargo Clearing Services, LLC
  274. Kevin Dery of Wells Fargo Advisors Financial Network, LLC
  275. Scott Brown of Wells Fargo Advisors Financial Network, LLC
  276. Deanna Quintanilla of Wells Fargo Clearing Services, LLC
  277. Xiangyu Zhang formerly with Wells Fargo Clearing Services, LLC
  278. Giuseppe Mauceli of Wells Fargo Advisors Financial Network, LLC
  279. Todd Demoss of Wells Fargo Advisors Financial Network, LLC
  280. Summer Diaz of Ameriprise Financial Services, LLC
  281. Robert McKinnon of Wells Fargo Advisors Financial Network, LLC
  282. Matthew Peterson of Wells Fargo Clearing Services, LLC
  283. Roger Follis of B. Riley Wealth Management
  284. Jeremy Strickler formerly withWells Fargo Advisors Financial Network
  285. Michael Spector of Morgan Stanley
  286. Richard Stone of Stifel, Nicolaus & Company, Incorporated?
  287. Scott Sadar of Somerset Securities, Inc
  288. Robert Scherzer of Wells Fargo Advisors Financial Network, LLC
  289. Raquel Pacheco Of Wells Fargo Clearing Services, LLC Reviews
  290. Jaime Estrada of Wells Fargo Advisors Financial Network, LLC Reviews
  291. Mark Neitzel of Wells Fargo Clearing Services, LLC FIRED
  292. Travis Salley of Wells Fargo Clearing Services, LLC FIRED
  293. Konstantin Rusin of Wells Fargo Clearing Services, LLC Reviews
  294. Douglas Frank of Wells Fargo Advisors Financial Network, LLC Reviews

If you have lost money investing with any of these Wells Fargo Advisors advisors or others within this brokerage firm, it’s important that you reach out to an investment loss attorney quickly because the statutes of limitations can bar your claims. Call us at 800-732-2889.

Why Does Wells Fargo Advisors Have So Many Regulatory Problems And Customer Complaints?

Independent broker-dealers are notorious for their lax supervisory practices and procedures. The business model of these franchise type operations is to open many offices nationwide for steady growth of fixed monthly revenues without the costs attendant to a full-service branch office with on-site manager, compliance officer and operation personnel. The registered representatives of these independent broker-dealers generally operate as separately incorporated businesses. They are not employees of the broker-dealer and therefore not controlled in the same manner as full-service brokerage firm representatives. The registered representatives control their structure and costs to maximize profits and often leave the protection of investors’ rights and interests as their lowest priority.

The typical supervisory organization of independent broker-dealer operations is to have other independent contractors operate Offices of Supervisory Jurisdiction (OSJs) to monitor the registered representatives from geographically remote offices and then report to the main franchisor’s compliance office at national headquarters. The supervisors at the OSJs are not employees of the franchisor and often run their own brokerage, insurance and other businesses. They are not devoted full-time supervisors of the smaller branch offices. Consequently, OSJ managers cannot and do not supervise the day-to-day operations of the registered representatives of these Independent broker-dealers. 

Generally, there is no immediate review of new accounts opened, securities transactions, business records, cash or securities receipts and deliveries, correspondence and business activities unrelated to the securities brokerage operation at these independent brokerage firms. The lax supervision leaves investors who have transferred their accounts to the smaller independent broker-dealer vulnerable to sales of securities that have not been reviewed or authorized by anyone other than the sales representative earning a commission. There may be no one onsite to detect forgeries of clients’ signatures on documents, the placement of inaccurate information about a client’s investment objectives and financial condition to document the suitability of a particular investment recommendation. Oftentimes there is no daily review of sales literature and client correspondence to protect against misrepresentations and misleading statements being made to investors. In fact, it is not unusual for there to be only one compliance audit visit per year at many of these offices.

These Independent brokerage business operations are worrisome to the North American Securities Administrators Association (NASAA), which has documented more instances of sales abuse and consequently investor losses at these firms than the traditional brokerage firms with branch offices with on-site managers and compliance personnel.

Did Wells Fargo Advisors Advisor Misconduct Cause You Investment Losses?

When financial advisor misconduct has caused you to lose substantial value to your investment accounts, you have the right to seek reimbursement from the responsible parties. Wells Fargo Advisors is responsible like any employer for its financial advisors acts and omissions. In addition, it has an independent duty to supervise its stockbrokers and investment advisors. These cases can be extremely complex, and so having the support of a reputable attorney who is experienced in recovering investment losses for investors is key to your success. Many customers make the mistake of contacting Wells Fargo Advisors without representation with an attorney about their complaints and have their complaints denied.

Related Read: Can You Sue Your Brokerage Firm?

Investment Losses? We Can Help

Discuss your legal options with an attorney at The Law Offices of Robert Wayne Pearce, P.A.

Get A Free Consultation

or, give us a ring at (800) 732-2889.

Robert Pearce

Consult With An Attorney Who Recovers Investment Losses Caused By Wells Fargo Advisors Today!

The investment loss attorneys at The Law Offices of Robert Wayne Pearce, P.A., have helped countless investors over the last 40 years recover the losses from their investment accounts that were caused by broker negligence or misconduct. The firm has extensive experience with Wells Fargo Advisors cases, and Attorney Pearce is committed to seeing that those responsible for the losses you have suffered are held fully accountable.

Give us a call at 800-732-2889. Let’s discuss your case and see what we can do to help you get the compensation you need and deserve.

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Robert Wayne Pearce

Robert Wayne Pearce of The Law Offices of Robert Wayne Pearce, P.A. has been a trial attorney for more than 40 years and has helped recover over $170 million dollars for his clients. During that time, he developed a well-respected and highly accomplished legal career representing investors and brokers in disputes with one another and the government and industry regulators. To speak with Attorney Pearce, call (800) 732-2889 or Contact Us online for a FREE INITIAL CONSULTATION with Attorney Pearce about your case.

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