National investment loss lawyers KlaymanToskes is investigating broker Bryan Noonan (CRD# 4864372) of Raymond James Financial Services, who has been permanently barred from acting as a broker by the Financial Industry Regulatory Authority (“FINRA”) following allegations that he refused to respond to requests for information and documents sent by FINRA in connection with the regulator’s investigation into whether Noonan engaged in undisclosed Outside Business Activities (OBAs) and private securities transactions.
According to FINRA BrokerCheck, Bryan Noonan was registered with Raymond James from 2021 until March 7, 2024, when the firm filed a Uniform Termination Notice for Securities Industry Registration (Form U5) reporting that there was an internal review pending “relating to possible violations of the firm’s policies relating to outside business activities and selling away.” On June 10, 2024, the firm filed an amended Form U5 filing stating that the internal review determined that Noonan, and his clients, invested in an unapproved investment.
Investors that suffered losses with broker Bryan Noonan are encouraged to contact attorney Lawrence L. Klayman, Esq., at 888-997-9956 or by email at lawrence@klaymantoskes.com to discuss recovery options. We do not collect attorney’s fees unless we are able to obtain a financial recovery for you.
KlaymanToskes is a leading national investment loss law firm that represents the interests of investors throughout the world who have suffered losses due to broker misconduct, investment fraud, and securities violations.
The articles linked below contain important information relating to KlaymanToskes’ investigation of broker Bryan Noonan:
If you suffered losses with broker Bryan Noonan, contact KlaymanToskes at 888-997-9956 or fill out a short contact form for a free and confidential consultation.
The firm has helped recover over $600 million* for investors, and can help you determine if your loss is due to financial advisor misconduct, unsuitable investment advice, and/or other securities violations.
*Exclusive of attorneys fees and costs.
As an investor, there are a few signs that you should look out for if you believe you may have a claim against broker Bryan Noonan. These signs could potentially indicate broker misconduct, negligence, or investment fraud. Investors are encourage to contact our firm immediately if you have experienced any of the following:
Some investors have close relationships with their brokers due to the time and trust built over the course of their investment relationship. However, it is crucial to remember that financial decisions should be based on careful analysis and due diligence rather than solely relying on personal relationships.
According to FINRA, brokerage firms such as Raymond James Financial Services are responsible for the supervision of all of the activities of their registered brokers and investment advisors. Investors may be entitled to a financial recovery if their brokerage firm failed to supervise the representative managing their brokerage account, and/or if their broker/advisor made unsuitable investment recommendations.
Engaging the services of an experienced securities attorney to evaluate the specific circumstances of your case is strongly advised. At KlaymanToskes, our team of experienced securities attorneys has a deep understanding of this complex area of law, allowing us to provide invaluable insight and tailored guidance that directly addresses your individual needs.
If you suffered losses with broker Bryan Noonan, or have concerns regarding your investment portfolio at Raymond James Financial Services, contact KlaymanToskes at 888-997-9956 or fill out a short contact form for a free and confidential consultation.