FINRA Bans Broker Michael Alan Siegel After Repeated Complaints and Investigations

FINRA has barred Michael Alan Siegel (CRD# 1950871) from “acting as a broker or otherwise associating with a broker-dealer firm.”  Siegel was a previously registered broker and investment advisor and worked in the financial services industry since 1992. His last registered place of employment was with National Securities Corporation of Edison, NJ (CRD# 7569), from 04/21/2014 through 05/13/2016 Siegel’s previous work history includes 13 investment companies: Concorde Investment Services (CRD# 151604), in Parsippany, NJ from 09/19/2013 through 04/22/2014 Continue reading The post FINRA Bans Broker Michael Alan Siegel After Repeated Complaints and Investigations appeared first on Securities Arbitration Lawyers Blog.

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