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Former Cuna Brokerage Services Broker Consents to Permanent FINRA Ban from the Securities Industry

Stacy Elizabeth Cheney-Jamison (Stacy Cheney-Jamison) has consented to a sanction from FINRA (the Financial Industry Regulatory Authority). FINRA is a non-governmental regulator of securities firms that focuses on investor protection and market integrity through effective and efficient regulation of the securities industry. The attorneys of Fishman Investment Fraud Lawyers are currently investigating possible claims against stockbroker Stacy Elizabeth Cheney-Jamison.

In May 2018 Stacy Elizabeth Cheney-Jamison was permanently banned from practicing as a broker. Stacy Elizabeth Cheney-Jamison worked for Cuna Brokerage Services, Inc. in Boca Raton, Florida from September 2016 to August 2017.

Stacy Elizabeth Cheney-Jamison was previously associated with IFS Securities, First American Securities, Inc., and Valic Financial Advisors, Inc., among other broker-dealers .

FINRA alleges that Stacy Elizabeth Cheney-Jamison engaged in the following misconduct: failing to participate in FINRA’s investigation into allegations that Stacy Cheney-Jamison engaged in private securities transactions and falsified client account forms .

Stacy Cheney-Jamison voluntarily resigned from Cuna in August 2017. There is one pending customer dispute in FINRA arbitration in which the customer alleges several causes of action, including breach of fiduciary duty and engaging in unauthorized transactions.

Stacy Elizabeth Cheney-Jamison has been the subject of at least 2 customer disputes.

If you invested money through Stacy Elizabeth Cheney-Jamison, we would like to talk to you. Fishman Investment Fraud Lawyers are experienced securities litigators. We have helped hundreds of clients recover their losses that were due to broker fraud or negligence. Contact us today to discuss your options and receive a free consultation.

Fishman Investment Fraud Lawyers represents investors who have suffered investment losses in claims against their brokers or financial advisors. Our experienced attorneys have brought securities fraud cases in state and federal courts across the nation, as well as in FINRA arbitration. We work to help investors recoup their losses.

Of course, all cases are different. For that reason, we analyze each client’s matter individually and provide our personalized evaluation only after considering all of the facts and circumstances of all possible claims. If you or someone you know is the victim of securities fraud, please contact a Fishman Haygood Investment Fraud lawyer today.

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