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Stoltmann Law Securities Fraud Attorneys
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Stoltmann Law Securities Fraud Attorneys
  • Practice Areas
    • Class Action Representation
    • Arbitration Process
    • Investment & Securities Fraud
    • Litigation
  • Attorneys
  • Resources
    • Investment Firms We Have Litigated Against
    • Stoltmann Arbitration Awards
    • Current Investigations
    • Video FAQs
    • How We Are Paid
  • Case Results
  • In The Media
  • Blog
  • Get In Touch

FINRA Bars Former MML Investors Services Broker Brian Travers

The Financial Industry Regulatory Authority (FINRA) recently barred former MML [...]

By Stoltmann Law|June 13, 2018|Fraud, Investment Fraud, Lawsuit|Comments Off on FINRA Bars Former MML Investors Services Broker Brian Travers
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Brian Travers Barred from the Industry by FINRA

According to a recent Letter of Acceptance, Waiver and Consent [...]

By Stoltmann Law|October 27, 2017|Uncategorized|Comments Off on Brian Travers Barred from the Industry by FINRA
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Roger Dolinger; MetLife Securities; Dublin, Ohio

Please call 312-332-4200 today if you suffered investment losses with [...]

By Stoltmann Law|October 4, 2017|Fraud, Investment Fraud, Lawsuit|Comments Off on Roger Dolinger; MetLife Securities; Dublin, Ohio
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Update For Investors: John Oldham Has Alternative Investment Recommendation Complaints

According to a recent Letter of Acceptance, Waiver and Consent [...]

By Stoltmann Law|June 22, 2017|Fraud, Investment Fraud, Lawsuit|Comments Off on Update For Investors: John Oldham Has Alternative Investment Recommendation Complaints
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James Kolf; Madison Wisconsin & New England Securities

According to a recent Letter of Acceptance, Waiver and Consent [...]

By Stoltmann Law|March 31, 2017|Uncategorized|Comments Off on James Kolf; Madison Wisconsin & New England Securities
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Brian Murphy; Murphy Financial Advisors; Moorestown, New Jersey

Did you lose money with Brian Murphy and his firm, [...]

By Stoltmann Law|January 17, 2017|Fraud, Investment Fraud, Lawsuit|Comments Off on Brian Murphy; Murphy Financial Advisors; Moorestown, New Jersey
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Rodger Burskey; Township, Michigan; Voya Financial Advisors; Excessive Trading Claims

Did you lose money with Rodger Burskey, a former financial [...]

By Stoltmann Law|January 4, 2017|Fraud, Investment Fraud, Lawsuit|Comments Off on Rodger Burskey; Township, Michigan; Voya Financial Advisors; Excessive Trading Claims
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James Kolf; NYLife Securities; Madison, Wisconsin

The Financial Industry Regulatory Authority (FINRA) recently barred James Kolf. [...]

By Stoltmann Law|December 8, 2016|Fraud, Investment Fraud, Lawsuit|Comments Off on James Kolf; NYLife Securities; Madison, Wisconsin
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Randall A. Heller; KCD Financial

Stoltmann Law Offices is investigating Randall A. Heller, a stock [...]

By Stoltmann Law|August 15, 2016|Fraud, Investment Fraud, Lawsuit|Comments Off on Randall A. Heller; KCD Financial
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Thomas Vigil; MetLife

According to a recent Letter of Acceptance, Waiver and Consent [...]

By Stoltmann Law|July 19, 2016|Fraud, Investment Fraud, Lawsuit|Comments Off on Thomas Vigil; MetLife
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Chicago Office

161 N Clark Street 16th Floor
Chicago, IL 60601
Phone: 312-332-4200
Fax: 312-332-4201
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Hoffman Estates Office

2000 Center Dr East #C218
Hoffman Estates, IL 60192
Phone: 312-332-4200
Fax: 312-332-4201
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Downers Grove Office

5117 Main St #9
Downers Grove, IL 60515
Phone: 312-332-4200
Fax: 312-332-4201
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About Stoltmann Law

Stoltmann Law Offices, P.C. has dedicated its practice to representing investors in lawsuits and arbitration claims against brokers, financial advisors, investment advisors, and their companies.

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We serve clients nationwide including, but not limited to, those in the following localities: Atlanta, Baltimore, Boston, Chicago, Dallas–Fort Worth, Denver, Detroit, Houston, Indianapolis, Las Vegas, Los Angeles, Miami, New Orleans, New York City, Philadelphia, Phoenix, Pittsburgh, San Antonio, San Bernardino-Riverside, San Diego, San Francisco, Seattle, St. Louis, Tampa–St. Petersburg, and Washington, D.C.

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