Gregory Voigt is a Rhode Island-based securities broker. He has worked in the securities industry for thirty years. During his career, he has been registered with just two different securities firms. They were Merrill Lynch (1988-2016) and UBS Financial Services (2016-Present).

Gregory Voigt’s publicly available FINRA BrokerCheck report shows that he has received multiple customer complaints over the course of his career.

In February 2001, a customer alleged misrepresentation regarding the tax aspects of a security.

In July 2017, customers alleged unsuitable investment recommendations, excessive trading, and misrepresentation. This case was settled for $300,000 in 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 Gregory Voigt, please contact Oakes & Fosher for a free and private consultation.