Tag Archives: Christopher D. Stoddard

Regulator Suspends Morgan Stanley Stockbroker

August 26, 2017  |   Posted by :   |   Investment and Regulatory News   |   0 Comments

Christopher D. Stoddard, of Norwell, Massachusetts, a stockbroker formerly registered with Morgan Stanley, has been fined $5,000.00 and suspended from associating with any Financial Industry Regulatory Authority (FINRA) member in any capacity based upon consenting to findings that he altered customer account documentation. Letter of Acceptance, Waiver and Consent, No. 2016051578601 (Aug. 16, 2017). According […]

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Wells Fargo Advisors Stockbroker Fired

April 11, 2017  |   Posted by :   |   Investment and Regulatory News   |   0 Comments

Christopher D. Stoddard, of Norwell, Massachusetts, a stockbroker registered with Wells Fargo Advisors, LLC, was terminated from employment on November 23, 2016, based upon allegations of his conduct which coincided with Stoddard’s September 16, 2016 termination from his former employer, Morgan Stanley. Financial Industry Regulatory Authority (FINRA) Public Disclosure reveals that Stoddard has been named […]

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