Sandy Siff is a New York-based securities broker. He has worked in the securities industry for thirty-one years. During his career, he has been registered with two different securities firms. They were USLife Equity Sales Corporation (1987-1993) and Halliday Financial (1993-Present).

Sandy Siff’s publicly available FINRA BrokerCheck report shows that he is currently the subject of a pending customer complaint. In July 2018, a customer alleged unsuitable investment recommendations against Siff. The customer is seeking $950,000 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 Sandy Siff, please contact Oakes & Fosher for a free and private consultation.