Advisor Alert: Our Attorneys Are Investigating J. Craig McIlroy For Investment Fraud

Did You Lose Money Because of J. Craig McIlroy?

Filed: March 20, 2024

Craig McIlroy currently has one (1) pending customer complaint. Overall, he has been the subject of four (4) customer complaints. As an investor, you may be entitled to compensation for losses accrued due to mismanagement of your investments.

Let’s begin our Patil Law Advisor Alert with a summary report on J. Craig McIlroy.

Who Is J. Craig McIlroy of Lincoln Financial Advisors Corporation?

  • Advisor Name: J. Craig McIlroy
  • Aliases: J. Craig McIlroy
  • CRD: 1422508
  • Location: Denver, Colorado
  • Current Employer: Lincoln Financial Advisors Corporation
  • Previous Firms: The Lincoln National Life Insurance Company, Cigna Financial Advisors, Inc., and Mony Securities Corp.
  • Number of Known Customer Complaints: 4
  • Can J. Craig McIlroy Be Sued: Yes, in Private Arbitration
  • Can J. Craig McIlroy’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $200,000
  • Highest Settlement: $1,179,426

If you have suffered investment losses by J. Craig McIlroy, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining an investment fraud lawyer. Reach out to the legal team at Patil Law, P.C. via the secure online form or call the firm directly toll-free at 1-800-950-6553.

Customer Complaints Filed Against J. Craig McIlroy For Broker Misconduct

As of this publication date, J. Craig McIlroy has been the subject of 4 customer disputes. Let’s review them below.

In February 2024, a FINRA arbitration was filed against or in reference to J. Craig McIlroy by a customer of Lincoln Financial Advisors Corporation alleging that Mr. McIlroy recommended an unsuitable Oil & Gas investment. Per the customer, he/she lost over $50,000 because of Mr. McIlroy’s actions. As of this publication date, this claim remains pending.

In December 2022, a FINRA arbitration was filed against or in reference to J. Craig McIlroy by a customer of Lincoln Financial Advisors Corporation alleging that Mr. McIlroy recommended an unsuitable investment in an Oil & Gas program. Per the customer, he/she lost over $200,000 because of Mr. McIlroy’s actions. On August 17, 2023, Mr. McIlroy settled the claim for $133,500, and some or all of this amount may have been paid by Mr. McIlroy’s employer and/or insurance carrier.

In December 2011, a FINRA arbitration was filed against or in reference to J. Craig McIlroy by a customer of Lincoln Financial Advisors alleging that the investment purchased in October 2008 was represented as being safe and consistent with her low-risk tolerance but its true nature and risks were not disclosed and it is unsuitable. On June 19, 2012, Mr. McIlroy settled the claim for $228,786, and some or all of this amount may have been paid by Mr. McIlroy’s employer and/or insurance carrier.

In February 2011, a FINRA arbitration was filed against or in reference to J. Craig McIlroy by multiple customers of Lincoln Financial Advisors alleging that the investments purchased in 2008 – 2010 were represented as being consistent with their desire for a low-risk, conservative, income-producing investment but the actual strategy and risks associated with the investment were not fully disclosed and explained. On June 19, 2012, Mr. McIlroy settled the claim for $1,179,426, and some or all of this amount may have been paid by Mr. McIlroy’s employer and/or insurance carrier.

How To File A Claim Against J. Craig McIlroy of Lincoln Financial Advisors Corporation (previously with The Lincoln National Life Insurance Company, Cigna Financial Advisors, Inc., and Mony Securities Corp.) To Get Your Money Back

If you have questions about J. Craig McIlroy, Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, Cigna Financial Advisors, Inc., Mony Securities Corp., or the management or performance of your accounts, please contact Attorney Patil for a free initial consultation via email or toll-free at 1-800-950-6553.

Advisor Alert: Our Attorneys Are Investigating Lawrence Charles Barrett For Investment Fraud

Did You Lose Money Because of Lawrence Barrett?

Filed: March 15, 2024

Lawrence Barrett (also known as Lawrence Barrett Dibartolomeo) currently has one (1) pending customer complaint. Overall, he has been the subject of three (3) customer complaints. As an investor, you may be entitled to compensation for losses accrued due to mismanagement of your investments.

Let’s begin our Patil Law Advisor Alert with a summary report on Lawrence Charles Barrett.

Who Is Lawrence Charles Barrett of Lincoln Financial Advisors Corporation?

  • Advisor Name: Lawrence Charles Barrett
  • Aliases: Lawrence Barrett Dibartolomeo
  • CRD: 13429
  • Location: Orange, Ohio
  • Current Employer: Lincoln Financial Advisors Corporation
  • Previous Firms: The Lincoln National Life Insurance Company, Equity Services, Inc., and Sun Investment Services Company
  • Number of Known Customer Complaints: 3
  • Can Lawrence Barrett Be Sued: Yes, in Private Arbitration
  • Can Lawrence Barrett’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $100,000
  • Highest Settlement: $27,663.28

If you have suffered investment losses by Lawrence Barrett, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining an investment fraud lawyer. Reach out to the legal team at Patil Law, P.C. via the secure online form or call the firm directly toll-free at 1-800-950-6553.

Customer Complaints Filed Against Lawrence Barrett For Broker Misconduct

As of this publication date, Lawrence Barrett has been the subject of 3 customer disputes. Let’s review them below.

In February 2024, a FINRA arbitration was filed against or in reference to Lawrence Barrett by multiple customers of Lincoln Financial Advisors Corporation alleging that Mr. Barrett recommended an unsuitable Oil and Gas investment. Per the customers, they lost over $100,000 because of Mr. Barrett’s actions. As of this publication date, this claim remains pending.

In January 2023, a FINRA arbitration was filed against or in reference to Lawrence Barrett by multiple customers of Lincoln Financial Advisors Corporation alleging that Mr. Barrett recommended an unsuitable Oil & Gas investment. Per the customers, they lost over $30,000 because of Mr. Barrett’s actions. On October 6, 2023, Mr. Barrett settled the claim for $27,663.28, and some or all of this amount may have been paid by Mr. Barrett’s employer and/or insurance carrier.

In July 1999, a complaint was filed against or in reference to Lawrence Barrett by multiple customers of Lincoln Financial Advisors Corporation alleging that the use of “B” shares was not appropriate and when the account reached a $500,000 asset level they should have been changed to “A” shares. Per the customers, they lost over $29,143.95 because of Mr. Barrett’s actions.

How To File A Claim Against Lawrence Barrett of Lincoln Financial Advisors Corporation (previously with The Lincoln National Life Insurance Company, Equity Services, Inc., and Sun Investment Services Company) To Get Your Money Back

If you have questions about Lawrence Barrett, Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, Equity Services, Inc., Sun Investment Services Company, or the management or performance of your accounts, please contact Attorney Patil for a free initial consultation via email or toll-free at 1-800-950-6553.

Advisor Alert: Our Attorneys Are Investigating Paul John Meaney For Investment Fraud

Did You Lose Money Because of Paul Meaney?

Filed: March 15, 2024

Paul Meaney has been the subject of four (4) customer complaints and one (1) financial event. As an investor, you may be entitled to compensation for losses accrued due to mismanagement of your investments.

Let’s begin our Patil Law Advisor Alert with a summary report on Paul John Meaney.

Who Is Paul John Meaney of Lincoln Financial Advisors Corporation?

  • Advisor Name: Paul John Meaney
  • Aliases: Paul Meaney
  • CRD: 1448237
  • Location: Waltham, Massachusetts
  • Current Employer: Lincoln Financial Advisors Corporation
  • Previous Firms: Ameriprise Financial Services, Inc. and IDS Life Insurance Company
  • Number of Known Customer Complaints: 4
  • Number of Known Financial Events: 1
  • Can Paul Meaney Be Sued: Yes, in Private Arbitration
  • Can Paul Meaney’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $164,000
  • Highest Settlement: $27,500

If you have suffered investment losses by Paul Meaney, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a churning lawyer. Reach out to the legal team at Patil Law, P.C. via the secure online form or call the firm directly toll-free at 1-800-950-6553.

Customer Complaints Filed Against Paul Meaney For Broker Misconduct

As of this publication date, Paul Meaney has been the subject of 4 customer disputes and 1 financial event. Let’s review them below.

In June 2023, a FINRA arbitration was filed against or in reference to Paul Meaney by a customer of Lincoln Financial Advisors Corporation alleging that Mr. Meaney recommended various unsuitable non-conventional investments. Per the customer, he/she lost over $164,000 because of Mr. Meaney’s actions. On August 9, 2023, Mr. Meaney settled the claim for $27,500, and some or all of this amount may have been paid by Mr. Meaney’s employer and/or insurance carrier.

In January 2023, a FINRA arbitration was filed against or in reference to Paul Meaney by multiple customers of Lincoln Financial Advisors Corporation alleging that Mr. Meaney recommended an unsuitable Oil & Gas investment. Per the customers, they lost over $60,000 because of Mr. Meaney’s actions.

In July 2021, a complaint was filed against or in reference to Paul Meaney by multiple customers of Lincoln Financial Advisors alleging receiving poor advice regarding accounts they opened in 2014 and that the poor investment performance they’ve experienced is due to mismanagement of the accounts.

In October 2018, a complaint was filed against or in reference to Paul Meaney by a customer of Lincoln Financial Advisors alleging that the REIT sold to them in December 2015 was an unsuitable investment.

In January 2017, Rushmore Loan Management Services LLC reported that Mr. Meaney had outstanding debt totaling $227,000. Mr. Meaney settled this matter in the amount of $104,883.53.

How To File A Claim Against Paul Meaney of Lincoln Financial Advisors Corporation (previously with Ameriprise Financial Services, Inc. and IDS Life Insurance Company) To Get Your Money Back

If you have questions about Paul Meaney, Lincoln Financial Advisors Corporation, Ameriprise Financial Services, Inc., IDS Life Insurance Company, or the management or performance of your accounts, please contact Attorney Patil for a free initial consultation via email or toll-free at 1-800-950-6553.

Advisor Alert: Our Attorneys Are Investigating Andrew Scott Horowitz For Investment Fraud

Did You Lose Money Because of Andrew Horowitz?

Filed: February 27, 2024

Andrew Horowitz has been the subject of one (1) customer complaint. As an investor, you may be entitled to compensation for losses accrued due to mismanagement of your investments.

Let’s begin our Patil Law Advisor Alert with a summary report on Andrew Scott Horowitz.

Who Is Andrew Scott Horowitz of Lincoln Financial Advisors Corporation?

  • Advisor Name: Andrew Scott Horowitz
  • Aliases: Andrew Horowitz
  • CRD: 2917830
  • Location: Hunt Valley, Maryland
  • Current Employer: Lincoln Financial Advisors Corporation
  • Previous Firms: The Lincoln National Life Insurance Company, M&T Securities, Inc., and Metlife Securities Inc.
  • Number of Known Customer Complaints: 1
  • Can Andrew Horowitz Be Sued: Yes, in Private Arbitration
  • Can Andrew Horowitz’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $50,000
  • Highest Settlement: $26,699.97

If you have suffered investment losses by Andrew Horowitz, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a stockbroker fraud lawyer. Reach out to the legal team at Patil Law, P.C. via the secure online form or call the firm directly toll-free at 1-800-950-6553.

Customer Complaints Filed Against Andrew Horowitz For Broker Misconduct

As of this publication date, Andrew Horowitz has been the subject of 1 customer dispute. Let’s review it below.

In May 2023, a FINRA arbitration was filed against or in reference to Andrew Horowitz by multiple customers of Lincoln Financial Advisors Corporation alleging that Mr. Horowitz recommended an unsuitable Oil & Gas investment. Per the customers, they lost over $50,000 because of Mr. Horowitz’s actions. On October 6, 2023, Mr. Horowitz settled the claim for $26,699.97, and some or all of this amount may have been paid by Mr. Horowitz’s employer and/or insurance carrier.

How To File A Claim Against Andrew Horowitz of Lincoln Financial Advisors Corporation (previously with The Lincoln National Life Insurance Company, M&T Securities, Inc., and Metlife Securities Inc.) To Get Your Money Back

If you have questions about Andrew Horowitz, Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, M&T Securities, Inc., Metlife Securities Inc., or the management or performance of your accounts, please contact Attorney Patil for a free initial consultation via email or toll-free at 1-800-950-6553.

Advisor Alert: Our Attorneys Are Investigating David Ross Stuart For Investment Fraud

Did You Lose Money Because of David Stuart?

Filed: January 30, 2024

David Stuart has been the subject of one (1) regulatory event and one (1) termination event. As an investor, you may be entitled to compensation for losses accrued due to mismanagement of your investments.

Let’s begin our Patil Law Advisor Alert with a summary report on David Ross Stuart.

Who Is David Ross Stuart?

  • Advisor Name: David Ross Stuart
  • Aliases: David Stuart
  • CRD: 857819
  • Location: Cherry Hill, New Jersey
  • Current Employer: Currently Not Registered
  • Previous Firms: Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, and Cigna Financial Advisors, Inc.
  • Number of Known Regulatory Events: 1
  • Number of Known Termination Events: 1
  • Can David Stuart Be Sued: Yes, in Private Arbitration
  • Can David Stuart’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: Unknown
  • Highest Settlement: Unknown

If you have suffered investment losses by David Stuart, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a stock market losses lawyer. Reach out to the legal team at Patil Law, P.C. via the secure online form or call the firm directly toll-free at 1-800-950-6553.

Customer Complaints Filed Against David Stuart For Broker Misconduct

As of this publication date, David Stuart has been the subject of 1 regulatory event and 1 termination event. Let’s review them below.

In November 2023, FINRA initiated a regulatory action against or in reference to David Stuart for sharing commissions with an unregistered person who referred customers to Stuart for the purpose of opening brokerage accounts and effecting securities transactions. The findings stated that Stuart and the unregistered person jointly met with at least one customer to discuss investments.

In May 2023, Lincoln Financial Advisors allowed David Stuart to resign after allegations that he was sharing securities commissions with an unaffiliated third party.

How To File A Claim Against David Stuart (previously with Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, and Cigna Financial Advisors, Inc.) To Get Your Money Back

If you have questions about David Stuart, Lincoln Financial Advisors Corporation, The Lincoln National Life Insurance Company, Cigna Financial Advisors, Inc., or the management or performance of your accounts, please contact Attorney Patil for a free initial consultation via email or toll-free at 1-800-950-6553.