WILLIAM M. QUIGLEY (CRD# 1968265) aka BILL QUIGLEY, Seaford, Long Island, a former chief compliance officer at a Woodbury, New York, brokerage firm, was charged in a two-count indictment by federal prosecutors with conspiring to defraud investors of more than $500,000, on Thursday, May 28, 2015 According to FINRA's BrokerCheck, Bill Quigley was previously registered […]
