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Investors' Rights with Robert Pearce

Welcome to Investors' Rights with Robert Pearce, your premier online resource for broker complaints and reviews, customer dispute details, and timely updates on potential stockbroker and investment advisor misconduct.

Created and published by Attorney Robert Wayne Pearce—one of the most experienced investment fraud, securities defense, and FINRA arbitration lawyers nationwide—this website is dedicated to safeguarding the rights of investors. We bring you decades of hands-on legal experience and a track record of recovering over $175 million for clients in investment loss cases.

With over 45 Years of Personal Experience

$21,000,000 Final Judgment for Civil Theft
$7,800,000 Stockbroker Option Fraud Settlement
$6,000,000 Stockbroker Bond & Bond Fund Fraud Settlement

Who This Site Is For

  • Individual Investors: Seeking to understand possible broker or advisor wrongdoing.
  • Retirees: Concerned about the management of retirement funds and looking to prevent or recover losses.
  • Institutions & Organizations: Conducting due diligence on broker backgrounds, compliance, and past complaints.
  • Legal & Regulatory Community: Journalists, regulators, and industry professionals tracking emerging trends and notable disputes in securities litigation.

Why Choose Investors' Rights with Robert Pearce

  • Decades of Legal Advocacy: Attorney Pearce’s over 45 years in securities and commodities law translates into unmatched insight and fierce representation.
  • Proven Results: Our team has earned a national reputation by recovering more than $175 million for clients, including multimillion-dollar awards and settlements.
  • Comprehensive Coverage: We report on critical broker allegations, terminations, and investor lawsuits, giving you the most current information to protect your financial interests.
  • Broad Industry Reach: Our attorneys have handled hundreds of FINRA, AAA, and JAMS arbitrations and mediations, spanning nationwide and international jurisdictions.


If you have any questions about potential investment losses or suspect broker misconduct, you’re invited to contact us at (833) 300-6983 for a free, confidential evaluation. We look forward to hearing your story and working together to preserve your rights as an investor.

Investigations

Great Point Capital LLC Broker Peter Chernin Under Investigation For Alleged Unsuitable 1031 Exchange Recommendations Following FINRA Arbitration

Our firm is investigating Great Point Capital LLC broker Peter Chernin (CRD# 6787497) of Chicago, Illinois for potential investment-related misconduct. Stockbroker’s Career History Based on FINRA BrokerCheck records, Peter Chernin has been registered with Great Point Capital LLC (Chicago, Illinois) since 11/30/2018. Prior to that, he was registered with Sandlapper Securities, LLC (Greenville, South Carolina)...

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Alexander Capital, L.P. Broker Jeremy Presley Under Investigation For FINRA Customer Complaint Alleging Unsuitable Recommendations and Overconcentration in Real Estate Securities

Our firm is investigating Alexander Capital, L.P. broker and financial advisor Jeremy Landon Presley (CRD# 6685733) of Atlanta, Georgia for potential investment-related misconduct. Financial Advisor’s Career History Based on his FINRA BrokerCheck report, Jeremy Landon Presley has been registered in the securities industry since at least 2016 and is currently registered with Alexander Capital, L.P....

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Merrill Lynch Broker Valente Orozco-Villasenor Under Investigation For Alleged Misrepresentations In FINRA Customer Complaint

Our firm is investigating Merrill Lynch broker and financial advisor Valente Orozco-Villasenor (CRD# 7159427) of Las Vegas, Nevada for potential investment-related misconduct. Financial Advisor’s Career History According to FINRA BrokerCheck, Valente Orozco-Villasenor has worked in investment-related roles since at least June 2015, including: BrokerCheck reflects registrations with Merrill Lynch as a broker (registered since 09/30/2019)...

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Newbridge Securities Corporation Advisor Christopher Chancellor Under Investigation For Alleged Unsuitable REIT Recommendations (FINRA Complaint)

Our firm is investigating Newbridge Securities Corporation financial advisor and registered representative Christopher Brent Chancellor (CRD# 6223895) of Ridgeland, Mississippi for potential investment-related misconduct. Financial Advisor’s Career History Based on FINRA BrokerCheck, Christopher Brent Chancellor’s securities registration history includes the following firms and time periods: Christopher Brent Chancellor Fraud Allegations and Investor Complaints Explained Customer...

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J.P. Morgan Securities LLC Broker Christina Lee Under Investigation For Alleged Unsolicited Derivatives Trades Causing Margin Deficit (FINRA Arbitration Docket No. 25-02564)

Christina Lee (CRD# 7318401) is a stockbroker and investment adviser representative with J.P. Morgan Securities LLC in San Francisco, California, and our firm is investigating potential investment-related misconduct tied to an investor complaint. Stockbroker’s Career History Based on FINRA BrokerCheck, Christina Lee entered the securities industry with Morgan Stanley (including Morgan Stanley Private Bank) and...

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Spartan Capital Securities Broker Christopher Dallas Under Investigation For FINRA Customer Dispute Alleging Unsuitable Trading and Unauthorized Options Strategy

Our firm is investigating Spartan Capital Securities, LLC stockbroker Christopher J. Dallas (CRD# 6184479) of New York, New York for potential investment-related misconduct. Stockbroker’s Career History According to his FINRA BrokerCheck report, Christopher J. Dallas has been registered with Spartan Capital Securities, LLC (New York, NY) since October 6, 2022. His disclosed registration history also...

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Edward Jones Financial Advisor Andrew Minehart Under Investigation For Unsuitable Pension Guidance Alleged in FINRA Arbitration

Our firm is investigating Edward Jones financial advisor Andrew J. Minehart (CRD# 3174525) of Elgin, Illinois for potential investment-related misconduct. Financial Advisor’s Career History Based on his FINRA BrokerCheck report, Andrew J. Minehart has been registered in the securities industry since 1999 and has been associated with Edward D. Jones & Co., L.P. (Edward Jones)...

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Raymond James Financial Services Advisor Rives Allen III Under Investigation For Unsuitable Investment Recommendations In FINRA Complaint

Our firm is investigating Raymond James Financial Services financial advisor and registered broker Rives Calvin Allen III (CRD# 3094996) of Madison, Mississippi for potential investment-related misconduct. Financial Advisor’s Career History Based on the BrokerCheck report, Mr. Allen’s securities industry registration history includes: Rives Calvin Allen III Fraud Allegations and Investor Complaints Explained FINRA BrokerCheck reflects...

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LPL Financial LLC Advisor Ryan Arnold Under Investigation For Customer Dispute Alleging Unsuitable Recommendations in Complex Products and Failure to Disclose Tax Consequences

Our firm is investigating LPL Financial LLC financial advisor Ryan Andrew Arnold (CRD# 6876248) of Lake Mary, Florida for potential investment-related misconduct. Financial Advisor’s Career History According to his BrokerCheck report, Ryan A. Arnold has been registered with LPL Financial LLC as a registered representative since February 2019 (with securities registration dating to August 2018),...

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Equitable Advisors Financial Advisor James Chapman Under Investigation For Unsuitable Alternative Investments (FINRA Complaint)

Our firm is investigating Equitable Advisors, LLC financial advisor and former registered representative James Thomas Chapman (CRD# 4837315) of Vestavia Hills, Alabama for potential investment-related misconduct. Financial Advisor’s Career History According to his FINRA BrokerCheck report, James Thomas Chapman reported securities industry registration with Equitable Advisors, LLC from September 2004 through December 2025, associated with...

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