FREE INITIAL CONSULTATION WITH ATTORNEYS WHO CAN HANDLE YOUR SECURITIES, COMMODITIES AND INVESTMENT PROBLEMS

The Law Offices of Robert Wayne Pearce, P.A. understands what is at stake in securities, commodities and investment law matters and constantly strives to secure the most favorable possible result. Mr. Pearce provides a complete review of your case and fully explains your legal options. The firm works to ensure that you have all of the information necessary to make a sound decision before any action is taken in your case.

For dedicated representation by a law firm with substantial experience in all kinds of securities, commodities and investment disputes, contact the firm by phone at 561-338-0037, toll free at 800-732-2889 or via e-mail. We may also be able to arrange a meeting with you at offices located in Boca Raton, Fort Lauderdale, Miami and West Palm Beach, Florida and elsewhere.

John Mason of Truist Investment Services, Inc.

DID JOHN CLAUDE MASON CAUSE YOU INVESTMENT LOSSES? John Mason Of Truist Investment Services, Inc. And Formerly With BB&T Securities, LLC Has A Customer Complaint For Alleged Broker Misconduct John Mason Customer Complaint John Mason has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were for failure to follow customer’s instructions to liquidate investments in stock market. The customer complaint is still pending with Truist Investment Services. John Mason Red Flags & Your Rights As An Investor Of course, John Mason did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of John Mason at Truist Investment Services, Inc. and BB&T Securities, LLC on alert to review carefully the activity and performance of their accounts and question whether John Mason has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Truist Investment Services, Inc. and BB&T Securities, LLC also raises questions about the brokerage firms’ supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Truist Investment Services, Inc.  Due To John Mason If you have questions about Truist Investment Services, Inc., BB&T Securities, LLC and/or John Mason and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Ronald Martin, Jr of Osaic Wealth, Inc.

DID RONALD LANE MARTIN JR CAUSE YOU INVESTMENT LOSSES? Ronald Martin, Jr Of Osaic Wealth, Inc. Has A Customer Complaint For Alleged Broker Misconduct Ronald Martin, Jr Customer Complaint Ronald Martin, Jr has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were for misrepresentations of client’s investment in an interval fund. Royal Alliance Associates settled the customer complaint in favor of the investor. Ronald Martin, Jr Red Flags & Your Rights As An Investor Of course, Ronald Martin, Jr did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Ronald Martin, Jr at Osaic Wealth, Inc. on alert to review carefully the activity and performance of their accounts and question whether Ronald Martin, Jr has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Osaic Wealth, Inc. also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Osaic Wealth, Inc. Due To Ronald Martin, Jr If you have questions about Osaic Wealth, Inc. and/or Ronald Martin, Jr and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Alan Margolies of Equitable Advisors, LLC

DID ALAN IRWIN MARGOLIES CAUSE YOU INVESTMENT LOSSES? Alan Margolies Of Equitable Advisors, LLC Has 2 Customer Complaints For Alleged Broker Misconduct Alan Margolies Customer Complaints Alan Margolies has been the subject of 2 customer complaints that we know about to recover investment losses. One customer dispute was recently denied by Equitable Advisors and so far, the investor has not taken any further action. There is currently one customer dispute registered with Equitable Advisors for Alan Margolies’ alleged misconduct that is still pending review and resolution. Allegations Against Alan Margolies A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses follows: Alan Margolies Red Flags & Your Rights As An Investor Of course, Alan Margolies did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Alan Margolies at Equitable Advisors, LLC on alert to review carefully the activity and performance of their accounts and question whether Alan Margolies has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Equitable Advisors, LLC also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Equitable Advisors, LLC Due To Alan Margolies If you have questions about Equitable Advisors, LLC and/or Alan Margolies and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Ricky Mantei of Centaurus Financial, Inc.

DID RICKY ALAN MANTEI CAUSE YOU INVESTMENT LOSSES? Ricky Mantei Of Centaurus Financial, Inc. Has 40 Customer Complaints For Alleged Broker Misconduct Ricky Mantei Customer Complaints Ricky Mantei has been the subject of 40 customer complaints that we know about to recover investment losses. Thirty-five of the customer complaints were settled by Ricky Mantei’s former and current employers in favor of the investors. Three of the customer complaints were denied and today, no further action has been taken. There are two customer complaints pending in FINRA arbitration proceedings. Allegations Against Ricky Mantei A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses are as follows: Ricky Mantei Red Flags & Your Rights As An Investor Of course, Ricky Mantei did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Ricky Mantei at Centaurus Financial, Inc. on alert to review carefully the activity and performance of their accounts and question whether Ricky Mantei has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Centaurus Financial, Inc. also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Centaurus Financial, Inc. Due To Ricky Mantei If you have questions about Centaurus Financial, Inc. and/or Ricky Mantei and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Paul Magnani of Edward Jones

DID PAUL NORMAN MAGNANI CAUSE YOU INVESTMENT LOSSES? Paul Magnani Of Edward Jones Has A Customer Complaint For Alleged Broker Misconduct Paul Magnani Customer Complaint Paul Magnani has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were adviser failed to explain the nature of the investments and withdrawals therefrom. The customer complaint is still pending with Edward Jones. Paul Magnani Red Flags & Your Rights As An Investor Of course, Paul Magnani did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Paul Magnani at Edward Jones on alert to review carefully the activity and performance of their accounts and question whether Paul Magnani has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Edward Jones also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Edward Jones Due To Paul Magnani If you have questions about Edward Jones and/or Paul Magnani and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Robert Lyons of GMS Group

DID ROBERT ALAN LYONS CAUSE YOU INVESTMENT LOSSES? Robert Lyons Of GMS Group Has 3 Customer Complaints For Alleged Broker Misconduct Robert Lyons Customer Complaints Robert Lyons has been the subject of 3 customer complaints that we know about to recover investment losses. One customer complaint resulted in a reparations proceeding being filed and a small award to the customer. Another customer complaint was denied and the investor took no further action. There is currently one customer complaint filed with The GMS Group and still pending. Allegations Against Robert Lyons A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses are as follows: Robert Lyons Red Flags & Your Rights As An Investor Of course, Robert Lyons did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Robert Lyons at GMS Group on alert to review carefully the activity and performance of their accounts and question whether Robert Lyons has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at GMS Group also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At GMS Group Due To Robert Lyons If you have questions about GMS Group and/or Robert Lyons and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Michael Lundon of UBS Financial Services Inc.

DID MICHAEL JAMES LUNDON CAUSE YOU INVESTMENT LOSSES? Michael Lundon Of UBS Financial Services Inc. Has A Customer Complaint For Alleged Broker Misconduct Michael Lundon Customer Complaint Michael Lundon has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were for an unsuitable recommendation to make long-term bond investments. The FINRA arbitration proceeding was recently filed and still pending. Michael Lundon Red Flags & Your Rights As An Investor Of course, Michael Lundon did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Michael Lundon at UBS Financial Services Inc. on alert to review carefully the activity and performance of their accounts and question whether Michael Lundon has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at UBS Financial Services Inc. also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At UBS Financial Services Inc. Due To Michael Lundon If you have questions about UBS Financial Services Inc. and/or Michael Lundon and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Thomas Lundgaard of Kestra Investment Services, LLC

DID THOMAS BODNAR LUNDGAARD CAUSE YOU INVESTMENT LOSSES? Thomas Lundgaard Of Kestra Investment Services, LLC Has A Customer Complaint For Alleged Broker Misconduct Thomas Lundgaard Customer Complaint Thomas Lundgaard has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were for failure to obtain required documentation for investments for customer’s trust. The matter was recently filed and is still pending in Oklahoma State Court. Thomas Lundgaard Red Flags & Your Rights As An Investor Of course, Thomas Lundgaard did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Thomas Lundgaard at Kestra Investment Services, LLC on alert to review carefully the activity and performance of their accounts and question whether Thomas Lundgaard has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Kestra Investment Services, LLC also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Kestra Investment Services, LLC Due To Thomas Lundgaard If you have questions about Kestra Investment Services, LLC and/or Thomas Lundgaard and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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 Michael Levine of Wells Fargo Clearing Services, LLC

DID MICHAEL JEROME LEVINE CAUSE YOU INVESTMENT LOSSES? Michael Levine Of Wells Fargo Clearing Services, LLC Has 4 Customer Complaints For Alleged Broker Misconduct Michael Levine Customer Complaints Michael Levine has been the subject of 4 customer complaints that we know about to recover investment losses. Three of the customer disputes were settled by Michael Levine’s current and former employers in favor of the investors. Wells Fargo Clearing Services successfully defended one of the other customer complaints. Allegations Against Michael Levine A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses are as follows: Michael Levine Red Flags & Your Rights As An Investor Of course, Michael Levine did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Michael Levine at Wells Fargo Clearing Services, LLC on alert to review carefully the activity and performance of their accounts and question whether Michael Levine has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Wells Fargo Clearing Services, LLC also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Wells Fargo Clearing Services, LLC Due To Michael Levine If you have questions about Wells Fargo Clearing Services, LLC and/or Michael Levine and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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Shane Levey of Bankers Life Securities, Inc.

DID SHANE MICHAEL LEVEY CAUSE YOU INVESTMENT LOSSES? Shane Levey Of Bankers Life Securities, Inc. Has A Customer Complaint For Alleged Broker Misconduct Shane Levey Customer Complaint Shane Levey has been the subject of at least one customer complaint that we know about to recover investment losses. The allegations made in the FINRA reported customer complaint for investment losses were for failure to disclose surrender fees of a Guaranteed Lifetime Income Annuity. Bankers Life Securities denied the customer complaint and, to date, the investor has not taken any further action. Shane Levey Red Flags & Your Rights As An Investor Of course, Shane Levey did not admit to any of the allegations. But regardless of whether an arbitration award was entered, a settlement occurred, or the customer complaint is still pending, the allegations made by customers are red flags which should put all current and former customers of Shane Levey at Bankers Life Securities, Inc. on alert to review carefully the activity and performance of their accounts and question whether Shane Levey has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Bankers Life Securities, Inc. also raises questions about the brokerage firm’s supervisory practices. If these red flags raise questions, call us and we will inform you of your rights as an investor. Did You Lose Money Because of Broker Misconduct? If you have lost money due to negligence or fraud by a stockbroker or advisor, the easiest way to know if you have a case is to call our office at 800-732-2889. Our investment fraud attorneys will evaluate your claim for free and let you know if we can help you recover your losses. Need Legal Help? Let’s talk. or, give us a ring at 561-338-0037. File A Claim To Recover Your Investment Losses At Bankers Life Securities, Inc. Due To Shane Levey If you have questions about Bankers Life Securities, Inc. and/or Shane Levey and the management or performance of your accounts, please contact Attorney Pearce for a free initial consultation via email or Toll Free at 1-800-732-2889.

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