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        <title><![CDATA[placement - Israels & Neuman, PLC]]></title>
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                <title><![CDATA[RANDY BIRKINBINE of Ausdal Financial Subject of COMPLAINTS]]></title>
                <link>https://www.israelsneuman.com/blog/randy-birkinbine-ausdal-financial-complaints/</link>
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                <dc:creator><![CDATA[Israels & Neuman, PLC]]></dc:creator>
                <pubDate>Tue, 28 May 2024 16:00:13 GMT</pubDate>
                
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                <description><![CDATA[<p>Advisor Randy Birkinbine, with Ausdal Financial Partners, Subject of Customer Complaints NORTH OAKS, MINNESOTA Have you lost money investing with Randy Birkinbine of Ausdal Financial Partners in North Oaks, Minnesota? According to Brokercheck, Ausdal Financial Partners has been named as a party in three cases filed in 2024, and Mr. Birkinbine was the subject of&hellip;</p>
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<h1 class="wp-block-heading"><strong>Advisor Randy Birkinbine, with Ausdal Financial Partners, Subject of Customer Complaints</strong></h1>


<p>
<strong><em>NORTH OAKS, MINNESOTA     </em></strong>Have you lost money investing with Randy Birkinbine of Ausdal Financial Partners in North Oaks, Minnesota?  According to <strong><a href="https://brokercheck.finra.org/" rel="noopener noreferrer" target="_blank">Brokercheck</a>,</strong> Ausdal Financial Partners has been named as a party in three cases filed in 2024, and Mr. Birkinbine was the subject of those complaints.  It was alleged that he made unsuitable investment recommendations in GWG, as well as oil and gas investments, REITs (real estate investment trusts), and UITs (unit investment trusts).</p>


<p>Randy Birkinbine has been affiliated with Ausdal Financial Partners from June 2011 to the present.  He worked in a North Oaks, Minnesota office.  In addition to the three customer complaints mentioned above, he has been the subject of five other customer complaints since 2013, and has also had five tax liens since 2009.</p>


<p>FINRA Rule 2111 discusses suitability: advisors must make <strong><a href="/practice-areas/advisor-negligence-and-fraud/unsuitable-investments-and-reg-bi/" rel="noopener" target="_blank">suitable investment recommendations</a></strong> to customers in accordance with the investors’ risk tolerance, investment objectives, net worth, age, and other factors.  If the advisor violates Rule 2111, the advisor and/or the brokerage firm  can be liable for investor losses.</p>


<p>Israels & Neuman PLC handles a number of cases in FINRA arbitration.  We have previously represented numerous investors in Minnesota and the Twin City area.</p>


<p><strong>View BrokerCheck report <a href="https://brokercheck.finra.org/individual/summary/2008599" rel="noopener noreferrer" target="_blank">HERE</a>.</strong>
</p>


<h2 class="wp-block-heading"><strong>If you lost money with Randy Birkinbine or Ausdal Financial Partners, please <a href="/contact-us/" rel="noopener" target="_blank">Contact Us</a> at 720-599-3505 for a free evaluation of your case.</strong></h2>


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                <title><![CDATA[Investigation of Advisor JOHN ORLANDO and Private Placement Sales]]></title>
                <link>https://www.israelsneuman.com/blog/john-orlando-fsc-fraud/</link>
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                <dc:creator><![CDATA[Israels & Neuman, PLC]]></dc:creator>
                <pubDate>Tue, 09 Nov 2021 18:11:13 GMT</pubDate>
                
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                <description><![CDATA[<p>FORT LAUDERDALE, FLORIDA Have you lost money with financial advisor John Orlando, formerly with Westpark Capital and now with SW Financial in Fort Lauderdale, Florida? We are looking into allegations made against John Anthony Orlando. Orlando has been the subject of six customer complaints, four of which were made within the last two years. The&hellip;</p>
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                <content:encoded><![CDATA[

<p><strong>FORT LAUDERDALE, FLORIDA</strong>
<strong> </strong>Have you lost money with financial advisor John Orlando, formerly with Westpark Capital and now with SW Financial in Fort Lauderdale, Florida?  We are looking into allegations made against John Anthony Orlando. Orlando has been the subject of six customer complaints, four of which were made within the last two years.  The complaints allege losses in private placements sold by Orlando while he was with Westpark Capital and another prior firm.</p>


<p>John Orlando was with Westpark Capital from August 2016 to September 2019.  He has also been with SW Financial from November 2019 to the present and with Newport Coast from March 2015 to August 2016.  He has worked at branch offices in Fort Lauderdale, Florida.</p>


<p>Brokerage firms like Westpark Capital have a responsibility to adequately supervise all representatives who are registered through their firm.  Brokerage firms also must take steps to ensure that their financial advisors follow all securities rules and regulations, as well as internal firm policies.  When brokerage firms <a href="/practice-areas/failure-to-supervise/" rel="noopener" target="_blank"><strong>fail to adequately supervise</strong></a> their registered representatives, they may be liable for investment losses sustained by customers.</p>


<p>Israels & Neuman PLC is a securities and investment fraud law firm with offices in Denver, Colorado; Seattle, Washington; Phoenix, Arizona; and Ann Arbor, Michigan.  We represent investors in <a href="http://www.finra.org/arbitration-and-mediation" rel="noopener noreferrer" target="_blank">FINRA arbitration</a> proceedings in all 50 states, including investors in Florida.  Our attorneys have represented over one thousand investors against many brokerage firms in the past, including against Westpark Capital.</p>


<p><a href="https://brokercheck.finra.org/individual/summary/2002197" rel="noopener noreferrer" target="_blank"><strong>View J. Orlando BrokerCheck Report</strong></a>
</p>


<h2 class="wp-block-heading">If you lost money with John Orlando or Westpark Capital, contact the law firm of <a href="/contact-us/">ISRAELS & NEUMAN</a> at (720) 599-3505 or (206) 795-5798 for a Free evaluation of your case.</h2>


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                <title><![CDATA[SCOTT JASON LEE Subject of Complaints]]></title>
                <link>https://www.israelsneuman.com/blog/scott-jason-lee-complaints/</link>
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                <dc:creator><![CDATA[Israels & Neuman, PLC]]></dc:creator>
                <pubDate>Tue, 15 Jun 2021 19:52:57 GMT</pubDate>
                
                    <category><![CDATA[Investment Fraud]]></category>
                
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                <description><![CDATA[<p>Israels & Neuman, PLC Investigates Scott Jason Lee, Formerly of Moloney Securities COLD SPRING, MINNESOTA – Have you lost money with financial advisor Scott Jason Lee, formerly of Moloney Securities in Cold Spring, Minnesota? We are looking into allegations made against Scott Lee, who has been the subject of a customer complaint, which was made&hellip;</p>
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                <content:encoded><![CDATA[
<p><strong>Israels & Neuman, PLC Investigates </strong><strong>Scott Jason Lee, Formerly of Moloney Securities</strong>
<strong>COLD SPRING, MINNESOTA – </strong>Have you lost money with financial advisor Scott Jason Lee, formerly of Moloney Securities in Cold Spring, Minnesota?  We are looking into allegations made against Scott Lee, who has been the subject of a customer complaint, which was made in 2021.  The customer alleged that Lee sold them an unsuitable private placement, causing damages of $82,000.</p>



<p>Scott Jason Lee was a registered representative of Moloney Securities from April 2016 to April 2019.  He has been with Ausdal Financial Partners from April 2019 to the present.  He has worked at branch offices in Cold Spring, Minnesota.</p>



<p>Brokerage firms like Moloney Securities have a responsibility to adequately supervise all representatives who are registered through their firm.  Brokerage firms also must take steps to ensure that their financial advisors follow all securities rules and regulations, as well as internal firm policies.  When brokerage firms fail to adequately supervise their registered representatives, they may be liable for investment losses sustained by customers.</p>



<p>Israels & Neuman PLC is a securities and investment fraud law firm with offices in Denver, Colorado; Seattle, Washington; Phoenix, Arizona; and Ann Arbor, Michigan.  We represent investors in <a href="http://www.finra.org/arbitration-and-mediation" rel="noopener noreferrer" target="_blank">FINRA arbitration</a> proceedings in all 50 states, including investors in Minnesota.  Our attorneys have represented over one thousand investors against many brokerage firms in the past.</p>



<p>Click to view BrokerCheck: <strong>Lee, s BrokerCheck 6.11.21</strong></p>



<h2 class="wp-block-heading" id="h-if-you-lost-money-with-scott-lee-or-moloney-securities-contact-the-law-firm-of-israels-amp-neuman-at-720-599-3505-or-206-795-5798-for-a-free-evaluation-of-your-case"><strong>If you lost money with Scott Lee or Moloney Securities, contact the law firm of <a href="/contact-us/">ISRAELS & NEUMAN</a> at (720) 599-3505 or (206) 795-5798 for a Free evaluation of your case.</strong></h2>
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