What Did Your Brokerage Firm or Investment Adviser Do Wrong With GWG
Published On: November 23, 2015

Did you or someone you know lose money with Jon Sanchez of Independent Financial Group in Reno, Nevada? If so, please contact our securities law firm in Chicago, Illinois for a free consultation with an attorney. You may be able to sue his firm, Independent Financial Group, for not reasonably supervising Sanchez, which resulted in investment losses. According to his Financial Industry Regulatory Authority (FINRA) BrokerCheck report, Sanchez was the subject of three customer complaints.

He was registered with Salomon Smith Barney in New York, New York from December 1993 until February 1999, Brookstreet Securities Corp in San Juan Capistrano, California from February 1999 until August 2002, Securities America in Stateline, Nevada from July 2002 until January 2006, QA3 Financial Corp in Reno, Nevada from January 2006 until August 2010 and Morgan Stanley in Reno from August 2012 until June 2013. He is currently registered with Independent Financial Group in Reno and has been since June 2013. He has three customer disputes against him, two of which are currently pending.

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