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November 16, 2025
Ignacio Tejera (Truist Investment Services) Accused Of Unsuitable Recommendations For Clients

Investors apparently complained about securities broker Ignacio Carlos Tejera [CRD: 4422696, Coral Gables, Florida], according to public information on FINRA BrokerCheck. Evidently, Tejera has worked for Truist Investment Services Inc. since September 24, 2002, and for Truist Advisory Services Inc. since October 27, 2016. Read below to learn more about Tejera’s disclosures and investor complaints. […]

March 9, 2022
Luisa Gonzalez Involved In SunTrust Client Dispute

Broker Luisa Gonzalez Accused Of Sales Practice Violations According To SunTrust Investor's Dispute The Financial Industry Regulatory Authority (“FINRA”) contains new disclosures concerning securities broker Mercado “Luisa” Gonzalez (CRD#: 2765208, Kissimmee, Florida). Evidently, Gonzalez worked for securities firms Leaders Group Inc. (2020 – present), PNC Investments (2017 to 2019), SunTrust Investment Services (2012 to 2017), […]

October 23, 2021
Sandra McKoy In SunTrust Client Complaints

Clients Of SunTrust File Disputes Alleging Unsuitable Recommendations By Sandra McKoy Financial Industry Regulatory Authority (FINRA) indicates that SunTrust investors have taken issue with the sales practices of Sandra Benain McKoy (CRD#: 2954755, Tamarac, Florida). It appears that McKoy worked as a financial advisor or securities broker for SunTrust Investment Services (1997 to 2017), SunTrust […]

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