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Industry News & Information

Part of what makes Meyer Wilson so unique is that we do not spread our resources thin over many different legal practice areas; nor do we take on a large caseload of investor claims cases. Investment and securities arbitrations and lawsuits require a deep understanding of the securities industry and tremendous attention to detail.

Broker Donovan Kelly Suspended for Recommending Private Placement Purchases
06/16/2022

Did You Invest with IFG Broker Donovan Kelly? Independent Financial Group broker and adviser Donovan Thomas Kelly has been suspended by the Financial Industry Regulatory Authority (FINRA) for violating securities rules after participating in private ...

Have You Suffered Losses in Hospitality Investors Trust REIT?
05/20/2022

Recovering Losses After Investing in Hospitality Investors Trust (HIT)  Hospitality Investors Trust, Inc., is a publicly registered, non-traded real estate investment trust (“REIT”). The trust filed for Chapter 11 bankruptcy in 2021 after st ...

Recover Your Losses in GWG Holdings, Inc. with Meyer Wilson
05/19/2022

Now Accepting GWG Holdings Investor Claims Nationwide Last month, GWG Holdings, Inc. filed for Chapter 11 bankruptcy protection. In light of the filing, investors may be at risk of sustaining a complete loss of principal. Investors in GWG L Bonds are ...

Meyer Wilson Representing Investors in Annuity Misrepresentation Case
03/25/2022

Meyer Wilson recently filed a securities arbitration case against the Leaders Group, Inc. concerning allegations that its former registered representative, Harold Schwartz, made material misrepresentations regarding the sale of an annuity to firm cus ...

The Investment Fraud Attorneys at Meyer Wilson Are Investigating Claims and Speaking to Victims of Philip Incorvia’s Alleged Ponzi Scheme
02/10/2022

Meyer Wilson is investigating claims that Philip Incorvia, a long-time broker at Henley & Co. out of New York, may have sold clients fraudulent investments. Incorvia died in August 2021. After his death, victims have come forward to allege that I ...

Did Mark Former Make Unauthorized Trades or Recommend Unsuitable Investments on Your Account?
02/07/2022

Meyer Wilson is investigating allegations that Illinois-based broker Mark Former engaged in unauthorized trading and recommended unsuitable investments, including direct investments into Direct Participation Programs (DPPs) and Limited Partnership (L ...

Did You Have an Account Managed by Kevin McCallum of LPL Financial?
02/02/2022

Meyer Wilson is investigating allegations that Alabama-based broker Kevin McCallum engaged in unauthorized trading and unsuitable purchases of risky investments. McCallum worked for LPL Financial until 2019 and has not been registered since. McCallum ...

Did You Lose Money in an Account Managed by Andrew Marschall?
01/31/2022

Meyer Wilson is investigating allegations on behalf of investors that Andrew Marschall, a Maryland-based broker, recommended unsuitable investments of non-traded Real Estate Investment Trusts (REITs) to his customers. Marschall has worked for PNC Inv ...

Did You Suffer Investment Losses While Working With Arkadios Capital Broker Kevin Rainwater?
01/18/2022

Meyer Wilson is investigating allegations that Kevin Rainwater, an Atlanta-based broker and investment advisor, engaged in investment misconduct that caused his customers to suffer financially. Rainwater currently works for Arkadios Capital, where he ...

Meyer Wilson Representing Investors in Claims Involving Improper Reit Sales and Other Unsuitable Investments Sold by Cetera Advisors
01/13/2022

The investment fraud lawyers at the law firm of Meyer Wilson are representing clients and investigating other claims on behalf of former customers of Cetera Investments Services, LLC, and its affiliates, who may have been improperly sold investments ...

Meyer Wilson Investigating Potential Legal Claims Involving Financial Advisor Richard Braverman of Geneos Wealth Management
01/13/2022

The investment fraud lawyers at the law firm of Meyer Wilson are investigating potential legal claims involving financial advisor Richard Mark Braverman (CRD#: 1023227). Braverman is a registered representative of Geneos Wealth Management, Inc., and ...

Did Ivan Cen Sell You Risky, Non-Traded Real Estate Securities?
01/11/2022

Meyer Wilson is investigating claims on behalf of investors that Ivan Cen, a California-based financial advisor registered with Cetera Investment Services, sold his clients inappropriate investments. Customers have filed three complaints against Cen ...

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Warrensville Heights, OH 44128
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Bloomfield Hills, MI 48304
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The information contained in this Website is provided for informational purposes only, and should not be construed as legal advice on any subject matter. No recipients of content from this site, clients or otherwise, should act or refrain from acting on the basis of any content included in the site without seeking the appropriate legal or other professional advice on the particular facts and circumstances at issue from an attorney licensed in the recipient's state. Read More
The information contained in this Website is provided for informational purposes only, and should not be construed as legal advice on any subject matter.
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