John Hoff Russell has worked in the securities industry for thirty-seven years. During his career he has worked for six different securities firms. From 1981 to 1984 he worked for WZW Financial Services. From 1984 to 1986 he worked for Thompson Mckinnon Securities. From 1986 to 1988 he worked for I.M. Simon & Co. During 1988 he also worked for Rowland, Simon & Co. Since 1988 he has worked for Stifel, Nicolaus & Company Incorporated. He also worked concurrently for the Leaders Group Inc. from 1998 to 2000.
John Hoff Russell’s FINRA BrokerCheck report shows that he has been the subject of three customer complaints during his career. His first one was brought forward in 2007. A customer of his alleged that Russell misrepresented length bonds & the risk associated with them. The client sought $14,720. This case was denied.
His second customer complaint was brought forward in 2011. The customer in this instance alleged losses on the purchase of a bond out of the parameters that the client claims to have agreed upon with Russell. This case was settled for approximately $40,000.
His third complaint was brought forward in April of 2018. The customer alleged breach of fiduciary duty, fraudulent misrepresentation, negligent misrepresentation, negligence, and civil conspiracy.
Oakes & Fosher dedicates its entire legal practice to helping investors across the nation. If you, or someone you know, have lost money investing with John Hoff Russell, please contact Oakes & Fosher for a free and private consultation.