Mark Alan Kemp of Corpus Christi Texas a stockbroker and investment advisor representative currently registered with McNally Financial Services Corporation is the subject of a customer initiated investment related arbitration claim in which the customer requested $100,000.00 in damages based upon accusations that misrepresentations had been made by the stockbroker and that the customer was…

Micah Wesley Patterson (also known as Wes Patterson) of Layton Utah a stockbroker formerly registered with Hornor Townsend Kent LLC has been fined $5,000.00 and suspended from associating with any Financial Industry Regulatory Authority (FINRA) member in any capacity based upon findings that Patterson engaged in an unapproved private securities transaction during the time that…

Andrew Scott Jensen of Atlanta Georgia a stockbroker formerly employed by Hornor Townsend Kent Inc. has been barred from associating with any Financial Industry Regulatory Authority (FINRA) member in any capacity founded on allegations that Jensen neglected to provide information to FINRA after it was formally requested of him by the regulator. Case No. 2016049110601…

Janie Garza-Clark of Scottsdale Arizona a stockbroker formerly employed by Hornor Townsend Kent Inc. has been discharged by the firm on December 1, 2015 founded on allegations that Garza-Clark violated the firm’s polices. Hornor Townsend Kent Inc. accused Garza-Clark of failing to conform to the firm’s policies concerning the handling of customer account applications; handling…

Benjamin Kevin Chappell of Salt Lake City Utah a stockbroker registered with Hornor Townsend Kent Inc. has been discharged by the firm on January 12, 2018 founded on allegations of unauthorized trading having been effected in a customer’s account. Financial Industry Regulatory Authority (FINRA) Public Disclosure reveals that Chappell is referenced in two customer initiated…

Michael Vetere of Tarrytown, New York is a stockbroker formerly registered with Hornor Townsend and Kent Inc. who has been barred from associating with any Financial Industry Regulatory Authority (FINRA) member in any capacity based upon allegations that he failed to provide FINRA with information that had been requested of him concerning his business activities….