Tag Archives: Miami Broker Fraud
Miami Broker Who Falsified Account Statements Barred From the Securities Industry
Recently, the Financial Industry Regulatory Authority (FINRA) reported that registered broker Lorenzo C. Esteva (CRD#: 2170595) has been permanently barred from the securities industry. Mr. Esteva was most recently employed at the Miami office of Merrill Lynch (1991-2015) and the Miami office of UBS Financial Services (2015-2017). In the past two years, at least… Read More »