Tag Archives: Merrimac Corporate Securities
Florida Brokerage Firm Expelled for Selling Unregistered Securities, Providing False Documents
In 2015, Merrimac Corporate Securities, an Altamonte Springs, Florida-based brokerage firm, was permanently barred from the securities industry for misconduct. The firm, along with one of its principals, had filed an appeal on the decision. On May 26th, 2017, a final decision was reached. FINRA’s National Adjudicatory Council (NAC) affirmed the initial ruling (2011027666902),… Read More »