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June 12, 2019
MARK BARRAND Allegedly Makes Fraudulent Sale

MARK BARRAND Allegedly Misrepresented Investments Investors have disputed the sales practices of securities broker Mark Barrand (CRD#: 4586528, Lone Tree, Colorado). Namely, the Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report for Mark Barrand shows that at least five investors filed “customer disputes” about him. These disputes, summarized below, suggest that Barrand sold unsuitable and misrepresented […]

May 19, 2019
JAMES LUNSFORD Cause You Investment Losses?

ATTENTION INVESTORS: Losses From JAMES LUNSFORD? James Lunsford (CRD#: 2222307, Sonoma, California) is a prior Mid Atlantic Capital Corporation securities broker. Notably, Lunsford, who worked for Mid Atlantic Capital Corporation from May 3, 2004 to December 4, 2015, discloses six client disputes on FINRA James Lunsford (CRD#: 2222307, Sonoma, California) is a prior Mid Atlantic […]

January 29, 2014
FINRA Issues Notice Giving Guidance to Firms on Unlisted Real Estate Investment Programs

The Financial Industry Regulatory Authority, also known as FINRA, has issued a notice on their website which provides guidance to broker/dealers on the communications they have with their clients regarding unlisted real estate investment programs, including unlisted real estate investment trusts (REITs) and unlisted direct participation programs (DPPs) which invest in real estate. Recently, in […]

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