Tag Archives: Bankers Life and Casualty Company

Bankers Life Stockbroker Investigated By FINRA For Forgery

November 04, 2020  |   Posted by :   |   Forgery, Securities Arbitration Claims   |   Comments Off on Bankers Life Stockbroker Investigated By FINRA For Forgery

Ryan Owen Tarjanyi of Greensburg Pennsylvania a stockbroker formerly employed by Bankers Life Securities is under investigation according to Financial Industry Regulatory Authority (FINRA). Case No. 20190619433 (Sept. 24, 2020). FINRA Public Disclosure reveals that Department of Enforcement might proceed with a disciplinary action against Tarjanyi supported by accusations of the stockbroker violating FINRA rules. […]

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Bankers Life Discharges Broker In Investigation

June 25, 2018  |   Posted by :   |   Forgery, Investment and Regulatory News   |   0 Comments

Ryan Owen Tarjanyi of Kettering Ohio a stockbroker employed by Bankers Life Securities Inc. has been discharged by the firm on March 30, 2018 based upon allegations that Tarjanyi failed to be forthcoming in an investigation into his activities. FINRA Public Disclosure additionally reveals that on February 20, 2018, a customer initiated investment related complaint […]

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Bankers Life Representative Suspended

April 10, 2017  |   Posted by :   |   Investment and Regulatory News, Variable Annuites   |   0 Comments

Gregory Harold Zastrow, of Plymouth, Wisconsin, a registered representative formerly associated with Bankers Life and Casualty Company, was fined $10,000.00 and suspended for nine months by the State of Wisconsin Office of the Commissioner of Insurance based upon consenting to findings that he engaged in unfair marketing practices concerning fixed annuities and life insurance products, […]

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