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Did You Lose Money Because of Don Kowalsky?

Filed: October 26, 2023

Don Kowalsky 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 Donald Morris Kowalsky.

Who Is Donald Morris Kowalsky of Cambridge Investment Research, Inc. and Cambridge Investment Research Advisors, Inc.?

  • Advisor Name: Donald Morris Kowalsky
  • Aliases: Don Kowalsky, Donald Kowalsky
  • CRD: 274546
  • Location: Atlanta, Georgia
  • Current Employer: Cambridge Investment Research, Inc. and Cambridge Investment Research Advisors, Inc.
  • Previous Firms: Questar Asset Management, Inc., Questar Capital Corporation, Symetra Investment Services, Inc.
  • Number of Known Customer Complaints: 4
  • Can Donald Kowalsky Be Sued: Yes, in Private Arbitration
  • Can Donald Kowalsky’s Employers Be Sued For Failing to Supervise His Actions: Yes, in Private Arbitration
  • Highest Damages Allegation: $150,000
  • Highest Settlement: $50,000

If you have suffered investment losses by Donald Kowalsky, 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 Don Kowalsky For Broker Misconduct

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

In December 2021, a complaint was filed against or in reference to Don Kowalsky by a customer of Questar Capital Corporation alleging that Mr. Kowalsky made unsuitable recommendations of illiquid and risky REITS. Per the customer, he/she lost over $52,000 because of Mr. Kowalsky’s actions. As of this publication date, this claim remains pending.

In October 2014, a FINRA arbitration was filed against or in reference to Don Kowalsky by a customer of Questar Capital Corporation alleging that Mr. Kowalsky violated common law fraud. The client also added allegations of breach of fiduciary duty, failure to supervise, negligence, in the sale of $114,449 DBSI 2008 notes on 04/07/2008. Per the customer, he/she lost over $150,000 because of Mr’ Kowalsky’s actions. On February 3, 2015, Mr. Kowalsky settled the claim for $50,000, and some or all of this amount may have been paid by Mr. Kowalsky’s employer and/or insurance carrier.

In July 2014, a FINRA arbitration was filed against or in reference to Don Kowalsky by a customer of Questar Capital Corporation with allegations of failure to perform due diligence, failure to supervise, common law fraud, breach of fiduciary duty, negligence in the sale of $103,010 DBSI 2008 notes on 7/10/2008.

In October 2013, a FINRA arbitration was filed against or in reference to Don Kowalsky by a customer of Questar Capital Corporation with allegations of breach of contract, breach of fiduciary duty, failure to supervise, negligence and gross negligence, misrepresentations and omissions, violations of FINRA rules, and Georgia and Federal Securities Laws in the sale of $60,000 DBSI Cavanaugh II, LLC on 12/10/2007 and $25,000 DBSI 2008 notes on 3/3/2008. Per the customer, he/she lost over $85,000 because of Mr’ Kowalsky’s actions. On February 26, 2014, Mr. Kowalsky settled the claim for $37,500, and some or all of this amount may have been paid by Mr. Kowalsky’s employer and/or insurance carrier.

How To File A Claim Against Donald Kowalsky of Cambridge Investment Research, Inc. and Cambridge Investment Research Advisors, Inc. (previously with Questar Asset Management, Inc., Questar Capital Corporation, Symetra Investment Services, Inc.) To Get Your Money Back.

If you have questions about Donald Kowalsky, Cambridge Investment Research, Inc., Cambridge Investment Research Advisors, Inc., Questar Asset Management, Inc., Questar Capital Corporation, Symetra 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.

Author Photo

Chetan Patil

Chetan Patil is the founder and Managing Partner of the Patil Law. He brings over 15 years of extensive experience in diverse complex disputes and transactions, across the country. Mr. Patil specializes in litigations, trials, arbitrations, and appeals of complex securities, FINRA, financial and business disputes, with an emphasis in securities, financial services, and financial regulatory law.
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