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February 26, 2015
FINRA Barred Rep Over Payment of Life Insurance Premiums

DEANNA R. MC CLEAN (CRD #4222057, Rock Island, Illinois) was barred by FINRA for allegedly using her own personal funds to pay life insurance premiums for clients to ensure that their policies did not lapse and, to qualify for the highest possible commission rate paid by her member firm’s affiliate. FINRA's findings stated that McClean’s […]

June 16, 2014
New Jersey Rep Barred by FINRA Over Alleged Insurance Fraud

Soreide Law Group, (888) 760-6552, obtained the following summation of information from FINRA’s website, in “Disciplinary and Other FINRA Actions, May, 2014.” Wei-Sheng Wang (CRD #2253377, Warren, New Jersey) was barred by FINRA allegedly because he and his wife, who is non-registered, accepted over $130,000 from clients of Wang's firm’s affiliate insurance company for life […]

July 27, 2012
Agent Charged In Life Insurance Fraud

On July 25th., 2012, the U.S. Attorney's Office in Baton Rouge, La.,  charged Timothy R. Schlatre with mail fraud, money laundering and asset forfeiture for his alleged role in a life insurance scam. Schlarte was an agent for New York Life Insurance Co. and Lincoln National Corp. He allegedly made hundreds of thousands of dollars in commissions by selling […]

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