FINRA has barred Wells Fargo broker Aaron Parthemer for failing to disclose outside businesses. From 2009 to 2013, Parthemer was a broker with Morgan Stanley and then Wells Fargo, counting NFL and NBA players among his clients. But during that time, he allegedly failed to disclose his business involvement in a Miami nightclub, loans that he made to clients, or that he referred clients to invest in a startup company.

In response to Morgan Stanley and Wells Fargo questionnaires, Parthemer also apparently falsely represented that he was not participating in any outside business activities that required disclosure. Finally, he also apparently gave false information to FINRA about his outside business activities.

If you believe you are a victim of stockbroker misconduct, contact investment fraud lawyers for a consultation. With offices in Los Angeles, New York City and Miami, investment fraud lawyers at Dimond Kaplan & Rothstein, P.A. are available for in-person consultations. Contact us today to set up an appointment.


EN   ES   PT     

Miami Office
Grand Bay Plaza
2665 S. Bayshore Drive
Penthouse 2B
Miami, FL 33133
Telephone: 786.628.8236

Los Angeles Office
Available by Appointment
2029 Century Park East
Century Plaza Tower
Suite 400N
Los Angeles, CA 90067
Telephone: 424.544.7930

New York City Office
Available by Appointment
14 Wall St, 20th Floor
New York, NY 10005
Telephone: 917.382.5217

West Palm Beach Office
Northbridge Centre
515 N. Flagler Drive, Suite P-300
West Palm Beach, FL 33401
Telephone: 561.475.2887

Detroit Office
41000 Woodward Avenue,
Suite 350 East
Bloomfield Hills, Mi 48304
Telephone: 248.368.0182