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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

Cetera Wealth Services Broker and Cetera Investment Advisers Financial Advisor Kristina Oswald Under Investigation For Alleged Failure to Process Change of Beneficiary FINRA Complaint

Our firm is investigating Cetera Wealth Services, LLC broker and Cetera Investment Advisers LLC investment adviser representative Kristina Wadman Oswald (CRD# 1751719) of Collinsville, Connecticut for potential investment-related misconduct involving an alleged failure to process a beneficiary change before a client’s death. Financial Advisor’s Career History According to the BrokerCheck report, Kristina Wadman Oswald has...

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Merrill Lynch Financial Advisor Christopher Lewis Under Investigation For Alleged Theft of Customer Funds FINRA Complaint

Our firm is investigating Merrill Lynch financial advisor Christopher A. Lewis (CRD# 1719199) of Doylestown, Pennsylvania for potential investment-related misconduct. Financial Advisor’s Career History According to FINRA BrokerCheck, Christopher A. Lewis has been registered with Merrill Lynch, Pierce, Fenner & Smith Incorporated in Doylestown, Pennsylvania since August 20, 1987 as a broker, and since June...

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LPL Financial Advisor Troy Miller Under Investigation For Alleged Failure to Prevent Customer Funds From Being Invested in an Allegedly Fraudulent Scheme FINRA Complaint

Our firm is investigating LPL Financial LLC broker and Private Advisor Group, LLC investment adviser representative Troy Edward Miller (CRD# 1467502) of Bozeman, Montana for potential investment-related misconduct. Financial Advisor’s Career History Troy Edward Miller entered the securities industry in May 1986 with Pruco Securities Corporation and The Prudential Insurance Company of America, later worked...

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Merrill Lynch Financial Advisor John Ryan Under Investigation For Alleged Failure to Follow Instructions Regarding Investment of Funds FINRA Complaint

Our firm is investigating Merrill Lynch financial advisor and broker John Anthony Ryan (CRD# 1307774) of Fort Worth, Texas for potential investment-related misconduct involving allegations that he failed to follow client instructions regarding the investment of funds. Financial Advisor’s Career History John Anthony Ryan began his securities industry career in 1984, when he became registered...

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Morgan Stanley Financial Advisor Norma Sepulveda Under Investigation For Unsuitable Investment Strategy Recommendations FINRA Complaint

Our firm is investigating Morgan Stanley financial advisor Norma Iris Sepulveda (CRD# 1247666) of Winter Park, Florida for potential investment-related misconduct involving allegedly unsuitable investment strategy recommendations. Financial Advisor’s Career History According to FINRA BrokerCheck, Norma Iris Sepulveda began her securities industry career in April 1984 with Merrill Lynch, Pierce, Fenner & Smith Incorporated in...

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Osaic Wealth Broker Daniel Zlotnick Under Investigation For Unsuitable Alternative Investment Recommendations FINRA Complaint

Our firm is investigating former Osaic Wealth broker Daniel Zlotnick (CRD# 1177472) of Melville, New York for potential investment-related misconduct involving alleged unsuitable alternative investment recommendations. Stockbroker’s Career History Daniel Zlotnick entered the securities industry in May 1984 with Island Planning Corp. of America. BrokerCheck shows later registrations with Empire State Securities (1992-1993), Capital Strategies...

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Wells Fargo Advisors Financial Advisor Stephen Wiedemann Under Investigation For Unsuitable Investment Recommendations FINRA Complaint

Our firm is investigating Wells Fargo Advisors financial advisor and stockbroker Stephen Eric Wiedemann (CRD# 2212349) of Newport Beach, California for potential investment-related misconduct. Financial Advisor’s Career History Stephen Eric Wiedemann began his securities industry career in 1992, when he passed the Series 7 examination on June 26, 1992. His registration history in the BrokerCheck...

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Osaic Wealth, Inc. Financial Advisor Russell Stout Under Investigation For Unauthorized Trading and Failure to Follow Instructions FINRA Complaint

Our firm is investigating Osaic Wealth, Inc. broker and investment adviser representative Russell A. Stout (CRD# 4525503) of Syracuse, New York for potential investment-related misconduct involving unauthorized trading and failure to follow instructions. Pending FINRA Arbitration Alleging Unauthorized Trades FINRA BrokerCheck reflects one pending customer dispute reported while Stout was associated with Osaic Wealth, Inc....

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J. Alden Associates Broker Nathan Goad Under Investigation For Alleged Private Placement Misrepresentation FINRA Complaint

Our firm is investigating J. Alden Associates, Inc. broker and Alden Investment Group investment adviser representative Nathan Daniel Goad (CRD# 5421740) of Wayne, Pennsylvania for potential investment-related misconduct involving recommended private placements. Nathan Daniel Goad’s Career History According to FINRA BrokerCheck, Goad entered the securities industry in 2007 with InterSecurities, Inc., then was registered with...

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LPL Financial LLC Broker Jack Biedebach Under Investigation For Alleged Failure to Keep an Account in Cash Against Client Instructions FINRA Complaint

Our firm is investigating LPL Financial LLC broker and investment adviser Jack Anthony Biedebach (CRD# 5060280) of Anaheim, California for potential investment-related misconduct. Financial Advisor’s Career History According to FINRA BrokerCheck, Jack Anthony Biedebach is currently registered as both a broker and an investment adviser with LPL Financial LLC in Anaheim, California, where he has...

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