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August 8, 2019
RICK KONECNY Sell You Bad Stocks?

Losses from Rick Konecny? The Financial Industry Regulatory Authority (“FINRA”) reports troubling disclosures from securities broker Rick Konecny (CRD#: 1727785, Chicago, Illinois). Evidently, the securities broker, who recently worked for J.P. Morgan Securities LLC (July 2013 to April 2016), discloses three regulatory sanctions, including a permanent bar from the securities industry by FINRA, along with […]

June 17, 2014
Registered Representatives Barred by FINRA for Failure to Provide Information

The following list of individual brokers who were barred by FINRA, appeared on FINRA's website under, ""Disciplinary and Other Actions, June, 2014." Individuals Barred for Failure to Provide Information or Keep Information Current Pursuant to FINRA Rule 9552(h) (If the bar has been vacated, the date follows the bar date.) Christopher Bryan Babbitt (CRD #6123929) […]

May 30, 2013
Attention Customers of Robert Waite; Formerly with Robert W. Baird & Co. and Wells Fargo Advisors of Chicago

Soreide Law Group is investigating claims on behalf of former customers of stock broker Robert E. Waite. Robert Waite was formerly registered with Robert W. Baird & Co. and Wells Fargo Advisors (formerly Wachovia) in Chicago. Soreide Law Group has been contacted by investors who have suffered significant investment losses with former broker Robert Waite […]

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