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.

Ronald Majewski of Pruco Securities, LLC

DID RONALD PATRICK MAJEWSKI CAUSE YOU INVESTMENT LOSSES? Ronald Majewski Of Pruco Securities, LLC Has A Customer Complaint For Alleged Broker Misconduct Ronald Majewski Customer Complaint Ronald Majewski 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 unsuitable investment recommendations to purchase an insurance policy and failure to fully disclose all the fees and expenses related thereto. Pruco Securities denied the customer complaint and to date, no further action has been taken by the investor. Ronald Majewski Red Flags & Your Rights As An Investor Of course, Ronald Majewski 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 Majewski at Pruco Securities, LLC on alert to review carefully the activity and performance of their accounts and question whether Ronald Majewski has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Pruco Securities, 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 Pruco Securities, LLC Due To Ronald Majewski If you have questions about Pruco Securities, LLC and/or Ronald Majewski 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 Goldberg of Cetera Financial Specialists LLC

DID RONALD GOLDBERG CAUSE YOU INVESTMENT LOSSES? Ronald Goldberg Of Cetera Financial Specialists LLC Has A Customer Complaint For Alleged Broker Misconduct Ronald Goldberg Customer Complaint Ronald Goldberg 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 the annuity recommended was inappropriate for a client due to contract structure. The customer dispute is still pending against Valmark Securities for Ronald Goldberg’s alleged misconduct. Ronald Goldberg Red Flags & Your Rights As An Investor Of course, Ronald Goldberg 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 Goldberg at Cetera Financial Specialists LLC on alert to review carefully the activity and performance of their accounts and question whether Ronald Goldberg has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Cetera Financial Specialists 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 Cetera Financial Specialists LLC Due To Ronald Goldberg If you have questions about Cetera Financial Specialists LLC and/or Ronald Goldberg 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 Metcalf, Jr. of Cetera Advisor Networks LLC

DID RONALD FRANKLIN METCALF JR CAUSE YOU INVESTMENT LOSSES? Ronald Metcalf, Jr. Of Cetera Advisor Networks LLC And Formerly Voya Financial Advisors, Inc. Has 9 Customer Complaints For Alleged Broker Misconduct Ronald Metcalf, Jr. Customer Complaints Ronald Metcalf, Jr. has been the subject of 9 customer complaints that we know about to recover investment losses. All 9 customer complaints were settled by Voya Financial Advisors in favor of the investors. Allegations Against Ronald Metcalf, Jr. The allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses were for failure to supervise registered representatives under his control in connection with the offer and sale of REITs investments that were misrepresented and/or unsuitable investment recommendations. Ronald Metcalf, Jr. Red Flags & Your Rights As An Investor Of course, Ronald Metcalf, 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 Metcalf, Jr. at Cetera Advisor Networks LLC and Voya Financial Advisors, Inc. on alert to review carefully the activity and performance of their accounts and question whether Ronald Metcalf, Jr. has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Cetera Advisor Networks LLC and Voya Financial Advisors, Inc. 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 Cetera Advisor Networks LLC Due To Ronald Metcalf, Jr. If you have questions about Cetera Advisor Networks LLC, Voya Financial Advisors, Inc. and/or Ronald Metcalf, 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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Ronald Segon of Next Financial Group, Inc.

DID RONALD DEAN SEGON CAUSE YOU INVESTMENT LOSSES? Ronald Segon Of Next Financial Group, Inc. And Formerly With Calton & Associates, Inc. Has A Customer Complaint For Alleged Broker Misconduct Ronald Segon Customer Complaint Ronald Segon 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 unsuitable investment recommendations of REITs. Calton and Associates settled the customer complaint in favor of the investor. Ronald Segon Red Flags & Your Rights As An Investor Of course, Ronald Segon 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 Segon at Next Financial Group, Inc. and Calton & Associates, Inc. on alert to review carefully the activity and performance of their accounts and question whether Ronald Segon has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Next Financial Group, Inc. and Calton & Associates, Inc. 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 Next Financial Group, Inc. Due To Ronald Segon If you have questions about Next Financial Group, Inc. and Calton & Associates, Inc. and/or Ronald Segon 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 Russell formerly with Kalos Capital, Inc.

DID RONALD CREIG RUSSELL CAUSE YOU INVESTMENT LOSSES? Ronald Russell Formerly With Kalos Capital, Inc. Has 3 Customer Complaints For Alleged Broker Misconduct Ronald Russell Customer Complaints Ronald Russell has been the subject of 3 customer complaints that we know about to recover investment losses. All 3 customer complaints were settled by Kalos Capital in favor of the investors. Allegations Against Ronald Russell  A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses are as follows: Ronald Russell Red Flags & Your Rights As An Investor Of course, Ronald Russell 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 Russell at Kalos Capital, Inc. on alert to review carefully the activity and performance of their accounts and question whether Ronald Russell has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Kalos Capital, 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 Kalos Capital, Inc. Due To Ronald Russell If you have questions about Kalos Capital, Inc. and/or Ronald Russell 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 Nagy of Wells Fargo Clearing Services, LLC

DID RONALD ANDREW NAGY CAUSE YOU INVESTMENT LOSSES? Ronald Nagy Of Wells Fargo Clearing Services, LLC Has A Customer Complaint For Alleged Broker Misconduct Ronald Nagy Customer Complaint Ronald Nagy 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 he did not inform customer some of his investments had to be sold to facilitate the transfer of his account or that the sales would result in tax consequences. Wells Fargo Advisors settled the customer complaint in favor of the investor. Ronald Nagy Red Flags & Your Rights As An Investor Of course, Ronald Nagy 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 Nagy at Wells Fargo Clearing Services, LLC on alert to review carefully the activity and performance of their accounts and question whether Ronald Nagy 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 Ronald Nagy If you have questions about Wells Fargo Clearing Services, LLC and/or Ronald Nagy 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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Roger Sherman-Rivera of Alight Financial Solutions, LLC

DID ROGER LOUIS SHERMAN-RIVERA CAUSE YOU INVESTMENT LOSSES? Roger Sherman-Rivera Of Alight Financial Solutions, LLC And Formerly With MML Investors Services, LLC and AXA Advisors, LLC Has A Customer Complaint For Alleged Broker Misconduct Roger Sherman-Rivera Customer Complaint Roger Sherman-Rivera 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 unsuitable investment recommendations, overconcentration of client’s portfolio in Puerto Rico denominated securities, fraud, breach of fiduciary duty, and violations of securities laws and regulations. Santander Securities settled the customer complaint in favor of the investor. Roger Sherman-Rivera Red Flags & Your Rights As An Investor Of course, Roger Sherman-Rivera 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 Roger Sherman-Rivera at Alight Financial Solutions, LLC, MML Investors Services, LLC and AXA Advisors, LLC on alert to review carefully the activity and performance of their accounts and question whether Roger Sherman-Rivera has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Alight Financial Solutions, LLC, MML Investors Services, LLC and AXA Advisors, 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 Alight Financial Solutions, LLC Due To Roger Sherman-Rivera If you have questions about Alight Financial Solutions, LLC, MML Investors Services, LLC, AXA Advisors, LLC and/or Roger Sherman-Rivera 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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Roger Duval formerly with Pruco Securities, LLC

DID ROGER ALLAN DUVAL CAUSE YOU INVESTMENT LOSSES? Roger Duval Formerly With Pruco Securities, LLC and MML Investors Services, LLC Has 3 Customer Complaints For Alleged Broker Misconduct Roger Duval Customer Complaints Roger Duval has been the subject of 3 customer complaints that we know about to recover investment losses. Two of the customer complaints were settled by Roger Duvall’s former employers in favor of the investors. The other customer complaint was denied by Pruco Securities and to date, the customer has not taken any further action. Allegations Against Roger Duval   A sample of the allegations made in the FINRA reported arbitration claim settlements and/or pending complaints for investment losses are as follows: Roger Duval Red Flags & Your Rights As An Investor Of course, Roger Duval 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 Roger Duval at Pruco Securities, LLC and MML Investors Services, LLC on alert to review carefully the activity and performance of their accounts and question whether Roger Duval has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Pruco Securities, LLC and MML Investors Services, 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 Pruco Securities, LLC Due To Roger Duval If you have questions about Pruco Securities, LLC, MML Investors Services, LLC and/or Roger Duval 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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Roderick Day formerly with Cabot Lodge Securities LLC

DID RODERICK KENNETH DAY CAUSE YOU INVESTMENT LOSSES? Roderick Day Formerly With Cabot Lodge Securities LLC, IFS Securities and Securities America, Inc. Has A Customer Complaint For Alleged Broker Misconduct Roderick Day Customer Complaint Roderick Day 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 misappropriation under false pretenses. Securities America settled the customer complaint. Roderick Day Red Flags & Your Rights As An Investor Of course, Roderick Day 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 Roderick Day at Cabot Lodge Securities LLC, IFS Securities and Securities America, Inc, on alert to review carefully the activity and performance of their accounts and question whether Roderick Day has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at Cabot Lodge Securities LLC, IFS Securities and Securities America, Inc, 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 Cabot Lodge Securities LLC Due To Roderick Day If you have questions about Cabot Lodge Securities LLC, IFS Securities, Securities America, Inc, and/or Roderick Day 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 Bradley of LPL Financial LLC

DID ROBERT WAYNE BRADLEY CAUSE YOU INVESTMENT LOSSES? Robert Bradley Of LPL Financial LLC Has A Customer Complaint For Alleged Broker Misconduct Robert Bradley Customer Complaint Robert Bradleyhas been the subject ofat 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 the advisor recommended investment inconsistent with the investor’s growth and income objective. LPL Financial settled the customer complaint in favor of the investor. Robert Bradley Red Flags & Your Rights As An Investor Of course, Robert Bradley 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 Bradley at LPL Financial LLC on alert to review carefully the activity and performance of their accounts and question whether Robert Bradley has engaged in any stockbroker misconduct that may have caused them investment losses. The large number of customer complaints at LPL Financial 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 LPL Financial LLC Due To Robert Bradley If you have questions about LPL Financial LLC and/or Robert Bradley 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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