Complaints Against J. Alden Associates Advisor Nate Goad

Israels & Neuman, PLC

The securities fraud and arbitration law firm of Israels & Neuman is looking into allegations involving Nathan Goad and Stephen Patterson, who worked at J. Alden Associates in a Largo, Florida office. 

Allegations Regarding Nate Goad’s BrokerCheck Report

According to BrokerCheck, a website maintained by FINRA, Nate Goad has been the subject of five customer complaints since 2025.  The complaints allegedly involve private investments he recommended between 2022 and 2025. These may include investments in Key City Capital (or KeyCity Capital). 

Background on Nathan Goad and Stephen Patterson

Mr. Goad has been licensed with J. Alden Associates from January 2022 to the present at a Largo, Florida office.  Stephen Patterson has also been licensed with J. Alden Associates.

Can J. Alden Associates Be Responsible for Their Advisors’ Conduct?

Under FINRA Rule 3110, broker-dealers like J. Alden Associates must reasonably supervise the activity of their advisors.  J. Alden Associates could be responsible for investor losses if there was a failure to supervise the advisors.

We Help Investors Nationwide, Including in Florida

We represent investors in Florida, who have been victims of broker misconduct, unsuitable investment recommendations, and fraud.  We have represented numerous investors in Florida in the past, and attorney David Neuman is licensed to practice law in Florida.  If you were a client of Nate Goad or Stephen Patterson and believe your financial advisor acted improperly, you may be entitled to recover losses through FINRA arbitration.

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