Steven Knuttila (CRD#: 3039112) is a previously registered securities broker and investment professional. Most recently, Mr. Knuttila was employed at Capital Financial Services in Perham,[...]
FINRA
James Kujawski (CRD#: 2075543) is a registered broker and investment advisor employed at Ameriprise Financial Services in Annapolis, Maryland. Mr. Kujawski has been employed at[...]
Herbert Voss, Jr. (CRD#: 1014475) is a previously registered broker and investment advisor. Most recently, Mr. Voss, Jr. was employed at StockCross Financial Services in[...]
Michael Morrissett (CRD#: 1456789) is a FINRA registered broker who is currently employed at Wells Fargo Clearing Services in Roanoke, Virginia. Mr. Morrissett has been[...]
According to reporting from Bank Investment Consultant (BIC), a retired worker has filed a $330,000 investment fraud lawsuit against a financial advisor in Cobb County,[...]
Bruce Martin Zipper (CRD#: 1019731) is a former FINRA broker. From 2005 to 2017, Mr. Zipper was the managing broker at Dakota Securities. According to[...]
Terry Lee McCoy (CRD#: 1476696) is a previously registered broker and investment advisor. From 2009 to 2016, Mr. McCoy was employed at Morgan Stanley in[...]
Justin Travis Mair (CRD#: 5143515) is a previously registered broker and financial advisor. From 2012 to 2016, Mr. Mair was employed at Morgan Stanley based[...]
Bradley Gardner (CRD#: 4423724) is a former registered broker and investment advisor. From 2012 to 2017, Mr. Gardner was a representative of LPL Financial based[...]
Kevin Graetz (CRD#: 1935982) is a previously registered securities broker. Mr. Graetz was most recently associated with Paulson Investment Company in New York City. This[...]