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Meyer Wilson Investigates Allegations of Malcolm Babin Misappropriating Funds

Malcolm J. Babin (CRD# 5387332), formerly registered with PFS Investments, was recently barred from the securities industry. Babin accepted and consented to FINRA’s findings that he failed to provide information in connection with an investigation into claims that he misappropriated his customers’ money and participated in outside business activity. Meyer Wilson is currently looking into these accusations.

Babin is relatively new to the securities industry, entering it in 2007 when he became registered with PFS Investments. According to FINRA, Babin was voluntarily discharged from PFS in 2008 and remained unaffiliated with any FINRA member firm until August 2009 when he rejoined PFS.

On May 13, 2015, PFS filed a termination notice with FINRA again discharging Babin from the firm. FINRA opened an investigation into Babin’s discharge from PFS in July 2015 based on allegations that he converted his customers’ funds and participated in outside business activities for which he did not disclose nor get approval.

Babin refused FINRA’s request for documents and information in connection with its investigation, which is a violation of securities industry regulations. He was barred from associating with any FINRA member in last month.

If you invested with Malcolm J. Babin, formerly with PFS Investments, and you lost money, we invite you to contact one of the broker fraud lawyers at Meyer Wilson today for a free review of your case.

The information contained in The Firm’s posts on its blog, fraud alerts, investigations or elsewhere on the site is based upon information obtained from other sources including, but not limited to, news outlets and federal, state, and regulatory agency filings. All suspects and subjects of postings herein are presumed innocent until proven guilty in a court of law or administrative action and any and all crimes are alleged until a court or regulatory agency finds otherwise .

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