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Financial Industry Regulatory Authority

Broker Barred for Non-Compliance with FINRA Rules

By Tom Costello of Costello Law Group Henry Al Dean Watson, a former Hillard Lyons broker, was barred by the Financial Industry Regulatory Authority (FINRA) for allegedly engaging in unauthorized trades and excessive trading. Watson recently settled a customer claim relating to those allegations. Watson refused to testify in the regulatory proceeding against […]

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Longtime Advisor of Widow Charged with Fraud

By Tom Costello of Costello Law Group The Financial Industry Regulatory Authority (FINRA) filed a complaint against Hank Werner, formerly with Legend Securities Inc. FINRA believes Werner churned an elderly widow’s account. His client’s husband died in 2012 and from that time up until March of this year, Werner placed over 700 trades […]

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