The securities fraud attorneys at Meyer Wilson are currently investigating claims against former broker John Corsi (CRD#: 1268728).
The Financial Industry Regulatory Authority (FINRA) is currently investigating former WRP Investments, Inc. and Sterne Agee Financial Services, Inc. broker John P. Corsi (CRD#: 1268728) over his alleged outside business activities.
FINRA began their investigation into Corsi in December of 2015 after he was discharged from Sterne Agee Financial Services, Inc. for violating their firm policies by engaging in outside business activities.
Corsi was also the subject of a customer dispute settled on April 1, 2016. In the dispute, the plaintiffs alleged that he encouraged them and a member of their family to heavily invest in an unsuitable investment between November 20, 2009 and July 16, 2012. They requested $345,000 in damages.
He was previously registered with:
If you lost money investing with former WRP Investments, Inc. and Sterne Agee Financial Services, Inc. broker John Corsi, contact our investment fraud attorneys here at Meyer Wilson. We handle all cases on a contingency fee basis, so you won’t be responsible for any legal fees unless we successfully help you recover your losses. Give us a call at one of our four offices located across the United States, or fill out our online form to start out with a free case evaluation today.