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NovCOMPLAINTS Against James McKinney of Cetera – Tulsa, OK

James McKinney, with Cetera Advisors, Subject of FINRA Complaint
Have you lost money with financial advisor James Gregory McKinney? We are investigating allegations made about “Greg” McKinney from Tulsa, Oklahoma. FINRA (the Financial Industry Regulatory Authority) seeks to bar McKinney from the securities industry. FINRA alleges that he has failed to respond to its investigation, regarding allegations that he possibly violated FINRA rules.
James McKinney was a financial advisor and registered representative of Cetera Advisors from October 2012 to August 2019. He worked in a branch office in Tulsa, Oklahoma. He has been the subject of three customer complaints and three liens. He also worked with Professional Asset Management of Tulsa.
Brokerage firms like Cetera Advisors 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.
Israels & Neuman PLC is a securities and investment fraud law firm with offices in Phoenix, Arizona; Denver, Colorado; Seattle, Washington; and Ann Arbor, Michigan. We represent investors in FINRA arbitration proceedings in all 50 states, including Oklahoma. Our attorneys have represented over one thousand investors against many brokerage firms in the past, including against Cetera Advisors.
Click to view: McKinney, James Greg FINRA Complaint
Click to view: McKinney, James BrokerCheck 11.6.19