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        <title><![CDATA[North Carolina - Greco & Greco]]></title>
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        <lastBuildDate>Fri, 11 Oct 2024 14:22:04 GMT</lastBuildDate>
        
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                <title><![CDATA[North Carolina Advisor Barred After Being Fired by Truist]]></title>
                <link>https://www.grecogrecolaw.com/blog/north-carolina-advisor-barred-after-being-fired-by-truist/</link>
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                <dc:creator><![CDATA[Greco & Greco, P.C.]]></dc:creator>
                <pubDate>Fri, 29 Mar 2024 18:32:59 GMT</pubDate>
                
                    <category><![CDATA[Disciplinary Actions]]></category>
                
                    <category><![CDATA[FINRA]]></category>
                
                    <category><![CDATA[North Carolina]]></category>
                
                    <category><![CDATA[Securities Fraud]]></category>
                
                    <category><![CDATA[Unauthorized Trading]]></category>
                
                
                    <category><![CDATA[Broker]]></category>
                
                    <category><![CDATA[FINRA]]></category>
                
                    <category><![CDATA[North Carolina]]></category>
                
                    <category><![CDATA[unauthorized trading]]></category>
                
                
                
                <description><![CDATA[<p>FINRA, a regulator of the securities industry, recently barred North Carolina broker Christina Peterman after she failed to respond to a FINRA request for information and documents. The Letter of Acceptance, Waiver, and Consent states that the investigation related to a filing by her Broker-Dealer firm, Truist Investment Services, Inc. stating that she had been&hellip;</p>
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<p>FINRA, a regulator of the securities industry, recently <a href="https://www.finra.org/sites/default/files/fda_documents/2023078798001%20Christina%20D.%20Peterman%20CRD%204064817%20AWC%20gg%20%282024-1709165994575%29.pdf" rel="noopener noreferrer" target="_blank">barred North Carolina broker Christina Peterman</a> after she failed to respond to a FINRA request for information and documents.  The Letter of Acceptance, Waiver, and Consent states that the investigation related to a filing by her Broker-Dealer firm, Truist Investment Services, Inc. stating that she had been discharged based on the allegation that she “accessed client information without a business purpose and engaged in unauthorized client transactions.”</p>

<p><a href="/practice-areas/unauthorized-trading/">Unauthorized trading</a> by investment advisors is generally considered to be a fraudulent activity.  Typically, unless discretion to trade without speaking to the customer is granted to the broker in writing, the broker is required to obtain permission for all transactions for the customer after discussing the relevant factors which form the basis for a recommended trade.</p>

<p>Greco & Greco has represented North Carolina investors for decades in FINRA arbitrations based on wrongful conduct by stock brokers and their brokerage firms.  If you believe you may have been harmed by a broker’s bad acts, please c<a href="/contact-us/">ontact Securities Fraud Lawyer Scott Greco</a> for a free attorney consultation about your case.</p>

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