John Ahramjian Sanctioned by Securities Regulators After Allegedly Falsifying Withdrawal Forms

Cleveland stockbroker fraud lawyer

John Leonard Ahramjian, formerly associated with MetLife Securities, Inc., falsified documents by signing his customers’ names, according to allegations made by the Financial Industry Regulatory Authority (“FINRA”). The Peiffer Rosca securities practice attorneys Jason Kane and Joe Peiffer are investigating the matter. Ahramjian falsified variable annuity withdrawal forms he submitted on behalf of certain MetLife… Read more »

John F. Wolle Accused of Forgery Related to Charitable Gift Annuities Offered by 54F

Cleveland stockbroker fraud attorney

John F. Wolle, formerly associated with Sinclair & Company, LLC, is barred from the securities industry by the Financial Industry Regulatory Authority (“FINRA”) in connection with allegations that he forged a person’s name and failed to disclose to his firm that was engaged in outside business activities, according to a default decision issued by FINRA’s… Read more »

Paul Taboada Accused of Misappropriating Investors’ Funds Relating to Purchase of Facebook Shares

Paul Taboada, formerly registered with Charles Morgan Securities, Inc., is accused of misappropriating funds from investors, according to a complaint filed by the Financial Industry Regulatory Authority’s Department of Enforcement. The Peiffer Rosca securities practice attorneys Jason Kane and Joe Peiffer are investigating the matter. Taboada misappropriated funds from certain investors in CMS FB LLC,… Read more »