The White Law Group is investigating the trading practices of Morgan Stanley Smith Barney financial advisor David Sheinheit.
Specifically, we are investigating whether Mr. Sheinheit inappropriately invested a retired investor’s retirement assets and/ or failed to implement a hedging strategy discussed by Mr. Sheinheit and the investor.
According to his FINRA Broker Report, Mr. Sheinheit is a financial advisor in Morgan Stanley Smith Barney’s Aventura, Florida office. Prior to working for Morgan Stanley Smith Barney, Mr. Sheinheit was a registered-representative with Citigroup Global Markets and Prudential Securities.
If you have any information that may assist The White Law Group in its investigation into Mr. Sheinheit’s trading practices, please contact our Chicago office at 312-238-9650.
The White Law Group, LLC is a national securities fraud, securities arbitration, investor protection, and securities regulation/compliance law firm with offices in Chicago, Illinois and Boca Raton, Florida. With over 30 years of securities law experience, including experience working at FINRA (f/k/a the NASD) and the SEC, The White Law Group has the expertise to help investors defrauded in securities, investment and financial business transactions. The firm primarily handles these cases on a contingency fee. For more information on The White Law Group, please visit our website at https://whitesecuritieslaw.com.Tags: Aventura, Chicago, Citigroup Global Markets, David Sheinheit, Financial Advisor, FINRA, Florida, hedging, Illinois, investment losses, investor protection, Morgan Stanley, NASD, Prudential Securities, SEC, securities arbitration, Securities Attorney, securities compliance, securities law, Securities Lawyer, securities regulation, Smith Barney, stockbroker, trading practices, www.whitesecuritieslaw.com Last modified: December 6, 2022