The law firm of Oakes & Fosher is presently investigating the possible misconduct of securities broker Ronald Cameron. According to his publicly available FINRA BrokerCheck report, Ronald Cameron has been the subject of a customer dispute.
Ronald Cameron is an Arizona based securities broker. He has worked in the securities industry for twenty-three years. During his career he has been registered with seven different securities firms.
His Registrations
- A.G. Edwards & Sons (1994-2000)
- Edward Jones (2000-2001)
- Morgan Stanley (2001-2005)
- Stephens (2005-2013)
- Raymond James (2013-2018)
- LPL Financial (2018-2019)
- International Assets Advisory (2019-Present)
The Allegations
In April of 2018 a complaint was filed by a customer alleging that Ronald Cameron over-concentrated their account, made unsuitable investment recommendations, failed to disclose material facts, and failed to conduct due diligence. This case was settled for $100,000 in damages.
Oakes & Fosher Can Help
Many investors are unaware of the legal recourse available to them after losing money due to securities broker fraud and/or negligence. The truth is that investors who have lost money in this fashion may actually be entitled to damages.
Oakes & Fosher dedicates its entire legal practice to helping investors across the nation. If you, or someone you know, have lost money investing with Ronald Cameron, please contact Oakes & Fosher for a free and private consultation. We work on a contingency basis, which means there are no fees charged unless we collect for you.