Advisor Alert: Our Attorneys Are Investigating Jarad Thomas Plummer For Investment Fraud

Did You Lose Money Because of Jarad Plummer?

Filed: March 20, 2024

Jarad Plummer (also known as Jarad T Plummer) has been the subject of one (1) investigation. 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 Jarad Thomas Plummer.

Who Is Jarad Thomas Plummer of MML Investors Services, LLC?

  • Advisor Name: Jarad Thomas Plummer
  • Aliases: Jarad T Plummer
  • CRD: 5782125
  • Location: Chicago, Illinois
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: Eagle Strategies LLC and NYLife Securities LLC
  • Number of Known Investigations: 1
  • Can Jarad Plummer Be Sued: Yes, in Private Arbitration
  • Can Jarad Plummer’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 Jarad Plummer, 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 Jarad Plummer For Broker Misconduct

As of this publication date, Jarad Plummer has been the subject of 1 investigation. Let’s review it below.

In September 2022, State of Illinois Secretary of State Securities Department initiated an investigation against or in reference to Jarad Plummer related to the sale of insurance products and advisory disclosures.

How To File A Claim Against Jarad Plummer of MML Investors Services, LLC (previously with Eagle Strategies LLC and NYLife Securities LLC) To Get Your Money Back

If you have questions about Jarad Plummer, MML Investors Services, LLC, Eagle Strategies LLC, NYLife Securities LLC, 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 Eric Shawnyee Tom For Investment Fraud

Did You Lose Money Because of Eric Tom?

Filed: March 19, 2024

Eric Tom has been the subject of twelve (12) 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 Eric Shawnyee Tom.

Who Is Eric Shawnyee Tom of MML Investors Services, LLC?

  • Advisor Name: Eric Shawnyee Tom
  • Aliases: Eric Tom
  • CRD: 1890823
  • Location: East Hills, New York
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc. and Metropolitan Life Insurance Company
  • Number of Known Customer Complaints: 12
  • Can Eric Tom Be Sued: Yes, in Private Arbitration
  • Can Eric Tom’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $100,000
  • Highest Settlement: $135,951.44

If you have suffered investment losses by Eric Tom, 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 Eric Tom For Broker Misconduct

As of this publication date, Eric Tom has been the subject of 12 customer disputes. Let’s review them below.

In November 2022, a FINRA arbitration was filed against or in reference to Eric Tom by a customer of MSI Financial Services, Inc. alleging that the client’s Jackson National Individual Deferred Variable and Fixed Annuity contracts, that were purchased in January 2006, were mismanaged by Mr. Tom, which resulted in a loss of his retirement savings, and the registered representative breached his fiduciary duty, and contract, and made misrepresentations. On March 6, 2024, Mr. Tom settled the claim for $75,000, and some or all of this amount may have been paid by Mr. Tom’s employer and/or insurance carrier.

In November 2020, a FINRA arbitration was filed against or in reference to Eric Tom by a customer of MSI Financial Services, Inc. alleging that the investments that were sold to him in 2015 did not match his expressed financial objectives and he has lost money as a result. Per the customer, he lost over $100,000 because of Mr. Tom’s actions. On March 15, 2023, Mr. Tom settled the claim for $47,500, and some or all of this amount may have been paid by Mr. Tom’s employer and/or insurance carrier.

In June 2017, a complaint was filed against or in reference to Eric Tom by a customer of MSI Financial Services, Inc. alleging that the deferred sales charges were not clearly explained when a variable annuity was sold by the advisor in November 2016.

In April 2016, a complaint was filed against or in reference to Eric Tom by a customer of MSI Financial Services, Inc. alleging that Mr. Tom misrepresented the variable annuity when purchased in July 2015.

In August 2015, a complaint was filed against or in reference to Eric Tom by a customer of Metlife Securities alleging that Mr. Tom misrepresented the features of the variable life insurance policy purchased in March 2002. On January 5, 2016, Mr. Tom settled the claim for $135,951.44, and some or all of this amount may have been paid by Mr. Tom’s employer and/or insurance carrier.

In December 2014, a complaint was filed against or in reference to Eric Tom by a customer of Metlife Securities alleging that Mr. Tom did not fully explain the variable annuity purchased in July 2014.

In July 2013, a complaint was filed against or in reference to Eric Tom by multiple customers of Metlife Securities alleging that Mr. Tom’s recommendation to purchase a bond fund in September 2012 was not appropriate.

In July 2013, a complaint was filed against or in reference to Eric Tom by a customer of Metlife Securities alleging that Mr. Tom did not explain risk when funds were invested in a mutual fund in August 2012, approximately.

In May 2012, a complaint was filed against or in reference to Eric Tom by a customer of Metlife Securities alleging that Mr. Tom did not explain the premium may increase when a variable life insurance policy was purchased in November 1996.

In October 2010, a complaint was filed against or in reference to Eric Tom by a customer of Metlife Securities alleging that funds provided to Mr. Tom, on or about November 2001, for the purchase of a variable life insurance policy, were not used as directed.

In January 2006, a complaint was filed against or in reference to Eric Tom by a customer of Metlife alleging that Mr. Tom never informed him of the existence of the waiver of premium rider declaration after reviewing his bankers life policy. The client also alleges that Mr. Tom never issued a disclosure statement pertaining to the Metlife Variable Universal Life Insurance Policy he purchased in January of 1997. Per the customer, he/she lost over $9,615.54 because of Mr. Tom’s actions.

In May 2004, a complaint was filed against or in reference to Eric Tom by a customer of Metlife alleging misrepresentations were made to him when he purchased a variable life policy in December 2000. Per the customer, he/she lost over $63,543.40 because of Mr. Tom’s actions.

How To File A Claim Against Eric Tom of MML Investors Services, LLC (previously with MSI Financial Services, Inc. and Metropolitan Life Insurance Company) To Get Your Money Back

If you have questions about Eric Tom, MML Investors Services, LLC, MSI Financial Services, Inc., Metropolitan 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 Eugene Boyd Thomas For Investment Fraud

Did You Lose Money Because of Eugene Thomas?

Filed: March 19, 2024

Eugene Thomas (also known as Gene B Thomas) currently has one (1) pending customer complaint. Overall, he has been the subject of two (2) 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 Eugene Boyd Thomas.

Who Is Eugene Boyd Thomas of MML Investors Services, LLC?

  • Advisor Name: Eugene Boyd Thomas
  • Aliases: Gene B Thomas
  • CRD: 2065557
  • Location: Oklahoma City, Oklahoma
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc. and Metropolitan Life Insurance Company
  • Number of Known Customer Complaints: 2
  • Can Eugene Thomas Be Sued: Yes, in Private Arbitration
  • Can Eugene Thomas’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $1,400,000
  • Highest Settlement: Unknown

If you have suffered investment losses by Eugene Thomas, 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 Eugene Thomas For Broker Misconduct

As of this publication date, Eugene Thomas has been the subject of 2 customer disputes. Let’s review them below.

In December 2022, a FINRA arbitration was filed against or in reference to Eugene Thomas by multiple customers of MML Investors Services, LLC alleging that in 2022, Mr. Thomas liquidated appreciated stock from the complainant’s account instead of first transferring it to one of the owner’s companies as had been discussed, thereby resulting in a taxable gain, which caused taxes of in excess of $300,000 that would have otherwise been avoided, and other losses caused by unauthorized stock trades and rebalancing. Per the customers, they lost over $1,400,000 because of Mr. Thomas’s actions. As of this publication date, this claim remains pending.

In February 2016, a FINRA arbitration was filed against or in reference to Eugene Thomas by a customer of Metlife Securities alleging that Mr. Thomas misrepresented the features of the variable annuity purchased in March 2014. No specific compensatory damages were alleged.

How To File A Claim Against Eugene Thomas of MML Investors Services, LLC (previously with MSI Financial Services, Inc. and Metropolitan Life Insurance Company) To Get Your Money Back

If you have questions about Eugene Thomas, MML Investors Services, LLC, MSI Financial Services, Inc., Metropolitan 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 Michael Il Yoon For Investment Fraud

Did You Lose Money Because of Michael Yoon?

Filed: March 18, 2024

Michael Yoon has been the subject of two (2) 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 Michael Il Yoon.

Who Is Michael Il Yoon of MML Investors Services, LLC?

  • Advisor Name: Michael Il Yoon
  • Aliases: Michael Yoon
  • CRD: 6348923
  • Location: Los Angeles, California
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc.
  • Number of Known Customer Complaints: 2
  • Can Michael Yoon Be Sued: Yes, in Private Arbitration
  • Can Michael Yoon’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $500,000
  • Highest Settlement: $405,000

If you have suffered investment losses by Michael Yoon, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a portfolio mismanagement 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 Michael Yoon For Broker Misconduct

As of this publication date, Michael Yoon has been the subject of 2 customer disputes. Let’s review them below.

In January 2023, a FINRA arbitration was filed against or in reference to Michael Yoon by a customer of MML Investors Services, LLC alleging that beginning in or around April 2021, Mr. Yoon mismanaged her account, placed unauthorized trades, and made unsuitable stock and whole life insurance recommendations. Per the customer, she lost over $500,000 because of Mr. Yoon’s actions. On January 29, 2024, Mr. Yoon settled the claim for $405,000, and some or all of this amount may have been paid by Mr. Yoon’s employer and/or insurance carrier.

In July 2022, a complaint was filed against or in reference to Michael Yoon by a customer of MML Investors Services, LLC alleging that Mr. Yoon made changes, without her approval, and never discussed with her, before purchasing or selling, within her account, which was established on April 15, 2021.

How To File A Claim Against Michael Yoon of MML Investors Services, LLC (previously with MSI Financial Services, Inc.) To Get Your Money Back

If you have questions about Michael Yoon, MML Investors Services, LLC, MSI Financial Services, 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 Thomas Earl Hampton For Investment Fraud

Did You Lose Money Because of Thomas Hampton?

Filed: March 14, 2024

Thomas Hampton currently has one (1) pending customer complaint. Overall, he has been the subject of one (1) customer complaint 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 Thomas Earl Hampton.

Who Is Thomas Earl Hampton of MML Investors Services, LLC?

  • Advisor Name: Thomas Earl Hampton
  • Aliases: Thomas Hampton
  • CRD: 1730068
  • Location: Oneonta, Alabama
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc. and Metropolitan Life Insurance Company
  • Number of Known Customer Complaints: 1
  • Number of Known Termination Events: 1
  • Can Thomas Hampton Be Sued: Yes, in Private Arbitration
  • Can Thomas Hampton’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $100,000
  • Highest Settlement: Unknown

If you have suffered investment losses by Thomas Hampton, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a failure to supervise 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 Thomas Hampton For Broker Misconduct

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

In December 2022, a FINRA arbitration was filed against or in reference to Thomas Hampton by a customer of MML Investors Services, LLC alleging that Mr. Hampton convinced the client to entrust him with his investment funds and then took advantage of him as part of a plan involving financial planning, investment, and other services akin to selling away, which has harmed him financially. Per the customer, he lost over $100,000 because of Mr. Hampton’s actions. As of this publication date, this claim remains pending.

In December 1992, The Equitable Life Assurance Society of the United States terminated Thomas Hampton for failure to respond and/or provide information regarding outside business activities as required by company policy and NASD requirements.

How To File A Claim Against Thomas Hampton of MML Investors Services, LLC (previously with MSI Financial Services, Inc. and Metropolitan Life Insurance Company) To Get Your Money Back

If you have questions about Thomas Hampton, MML Investors Services, LLC, MSI Financial Services, Inc., Metropolitan 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 Ellen Macisaac Zimmermann Demaris For Investment Fraud

Did You Lose Money Because of Ellen Demaris?

Filed: March 12, 2024

Ellen Demaris (also known as Ellen Macisaac Zimmerman, Ellen Macisaac Zimmermann) 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 Ellen Macisaac Zimmermann Demaris.

Who Is Ellen Macisaac Zimmermann Demaris?

  • Advisor Name: Ellen Macisaac Zimmermann Demaris
  • Aliases: Ellen Macisaac Zimmerman, Ellen Macisaac Zimmermann
  • CRD: 2574244
  • Location: Southfield, Michigan
  • Current Employer: Currently Not Registered
  • Previous Firms: MML Investors Services, LLC and Washington Square Securities, Inc.
  • Number of Known Customer Complaints: 1
  • Can Ellen Demaris Be Sued: Yes, in Private Arbitration
  • Can Ellen Demaris’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 Ellen Demaris, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a 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 Ellen Demaris For Broker Misconduct

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

In January 2023, a complaint was filed against or in reference to Ellen Demaris by a customer of MML Investors Services, LLC alleging that in the beginning or around 2010, Ms. Demaris made unsuitable recommendations to annuitize, surrender, and replace various annuities, which incurred multiple surrender charges, resulting in large losses.

How To File A Claim Against Ellen Demaris (previously with MML Investors Services, LLC and Washington Square Securities, Inc.) To Get Your Money Back

If you have questions about Ellen Demaris, MML Investors Services, LLC, Washington Square 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 Kevin Winthrop Paasch For Investment Fraud

Did You Lose Money Because of Kevin Paasch?

Filed: March 6, 2024

Kevin Paasch currently has one (1) pending customer complaint. Overall, he has been the subject of two (2) 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 Kevin Winthrop Paasch.

Who Is Kevin Winthrop Paasch of MML Investors Services, LLC?

  • Advisor Name: Kevin Winthrop Paasch
  • Aliases: Kevin Paasch
  • CRD: 2213833
  • Location: Virginia Beach, Virginia
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: Investacorp, Inc. and Banc of America Investment Services, Inc.
  • Number of Known Customer Complaints: 2
  • Can Kevin Paasch Be Sued: Yes, in Private Arbitration
  • Can Kevin Paasch’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $1,100,000
  • Highest Settlement: Unknown

If you have suffered investment losses by Kevin Paasch, we strongly encourage you to exercise your rights to experienced legal representation. Recover what is owed to you by retaining a portfolio mismanagement 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 Kevin Paasch For Broker Misconduct

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

In February 2024, a complaint was filed against or in reference to Kevin Paasch by a customer of MML Investors Services, LLC alleging that in 2021, Mr. Paasch didn’t sell and transfer assets as instructed, and later transferred money that had been in the customer’s joint account over to an account held by just one of the joint account holders, contrary to the instructions that had been given, resulting in financial harm. Per the customer, he/she lost over $1,100,000 because of Mr. Paasch’s actions. As of this publication date, this claim remains pending.

In December 2015, a complaint was filed against or in reference to Kevin Paasch by a customer of MML Investors Services, LLC alleging that the annuity that was sold to the client in 2015 was misrepresented.

In March 2015, a complaint was filed against or in reference to Kevin Paasch by a customer of MML Investors Services, LLC alleging that the variable annuity sold to her in 2012 was misrepresented and she didn’t receive sound advice on her other annuity investments. Per the customer, she lost over $15,495.75 because of Mr. Paasch’s actions.

How To File A Claim Against Kevin Paasch of MML Investors Services, LLC (previously with Investacorp, Inc. and Banc of America Investment Services, Inc.) To Get Your Money Back

If you have questions about Kevin Paasch, MML Investors Services, LLC, Investacorp, Inc., Banc of America Investment Services, 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 Matthew Anthony DelPriore For Investment Fraud

Did You Lose Money Because of Matthew DelPriore?

Filed: March 4, 2024

Matthew DelPriore has been the subject of two (2) 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 Matthew Anthony DelPriore.

Who Is Matthew Anthony DelPriore of MML Investors Services, LLC?

  • Advisor Name: Matthew Anthony DelPriore
  • Aliases: Matthew DelPriore
  • CRD: 4928651
  • Location: Lincroft, New Jersey
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc. and Metropolitan Life Insurance Company
  • Number of Known Customer Complaints: 2
  • Can Matthew DelPriore Be Sued: Yes, in Private Arbitration
  • Can Matthew DelPriore’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $5,285.88
  • Highest Settlement: Unknown

If you have suffered investment losses by Matthew DelPriore, 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 Matthew DelPriore For Broker Misconduct

As of this publication date, Matthew DelPriore has been the subject of 2 customer disputes. Let’s review them below.

In May 2023, a complaint was filed against or in reference to Matthew DelPriore by a customer of MML Investors Services, LLC alleging that Mr. DelPriore was involved in a matter where the complainant was misled as to how her fund was going to be managed, and also received inaccurate information about it, causing her to lose the majority of her investment in 2023.

In January 2015, a complaint was filed against or in reference to Matthew DelPriore by a customer of MetLife Securities alleging that Mr. DelPriore did not have authority to redeem IRA funds in January 2012. Per the customer, he/she lost over $5,285.88 because of Mr. DelPriore’s actions.

How To File A Claim Against Matthew DelPriore of MML Investors Services, LLC (previously with MSI Financial Services, Inc. and Metropolitan Life Insurance Company) To Get Your Money Back

If you have questions about Matthew DelPriore, MML Investors Services, LLC, MSI Financial Services, Inc., Metropolitan 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 Kyung H Song For Investment Fraud

Did You Lose Money Because of Kyung Song?

Filed: February 9, 2024

Kyung Song has been the subject of one (1) customer complaint 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 Kyung H Song.

Who Is Kyung H Song?

  • Advisor Name: Kyung H Song
  • Aliases: Kyung Song
  • CRD: 2760764
  • Location: East Hills, New York
  • Current Employer: Currently Not Registered
  • Previous Firms: MML Investors Services, LLC, MSI Financial Services, Inc., and Lincoln Financial Advisors Corporation
  • Number of Known Customer Complaints: 1
  • Number of Known Termination Events: 1
  • Can Kyung Song Be Sued: Yes, in Private Arbitration
  • Can Kyung Song’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $82,000
  • Highest Settlement: Unknown

If you have suffered investment losses by Kyung Song, 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 Kyung Song For Broker Misconduct

As of this publication date, Kyung Song has been the subject of 1 customer dispute and 1 termination event. Let’s review them below.

In November 2023, MML Investors Services, LLC permitted Kyung Song to resign following the discovery of securities related activity, with a prospective customer, in violation of Firm policy and allegations of defrauding the customer while assisting on an account transfer.

In October 2023, a complaint was filed against or in reference to Kyung Song by a customer of MML Investors Services, LLC alleging that beginning in or around 9/2023, Song defrauded her out of $77,000. Per the customer, he/she lost over $82,000 because of Song’s actions.

How To File A Claim Against Kyung Song (previously with MML Investors Services, LLC, MSI Financial Services, Inc., and Lincoln Financial Advisors Corporation) To Get Your Money Back

If you have questions about Kyung Song, MML Investors Services, LLC, MSI Financial Services, Inc., Lincoln Financial Advisors Corporation, 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 Lien Kim Nguyen For Investment Fraud

Did You Lose Money Because of Lien Nguyen?

Filed: February 2, 2024

Lien Nguyen currently has one (1) pending customer complaint. Overall, he 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 Lien Kim Nguyen.

Who Is Lien Kim Nguyen of MML Investors Services, LLC?

  • Advisor Name: Lien Kim Nguyen
  • Aliases: Lien Nguyen
  • CRD: 2662699
  • Location: Los Angeles, California
  • Current Employer: MML Investors Services, LLC
  • Previous Firms: MSI Financial Services, Inc. and Metropolitan Life Insurance Company
  • Number of Known Customer Complaints: 1
  • Can Lien Nguyen Be Sued: Yes, in Private Arbitration
  • Can Lien Nguyen’s Employers Be Sued For Failing to Supervise Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $407,141.87
  • Highest Settlement: Unknown

If you have suffered investment losses by Lien Nguyen, 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 Lien Nguyen For Broker Misconduct

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

In November 2023, a complaint was filed against or in reference to Lien Nguyen by a customer of Metlife Securities, Inc. alleging that Nguyen misrepresented the variable annuity that the client purchased on/or about March 7, 2013, and he was promised that he would receive a larger 4% return in profits on his investment. Per the customer, he lost over $407,141.87 because of Nguyen’s actions. As of this publication date, this claim remains pending.

How To File A Claim Against Lien Nguyen of MML Investors Services, LLC (previously with MSI Financial Services, Inc. and Metropolitan Life Insurance Company) To Get Your Money Back

If you have questions about Lien Nguyen, MML Investors Services, LLC, MSI Financial Services, Inc., Metropolitan 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.