Investors Allege that they Were Sold Unsuitable Annuities By Sagepoint Financial’s Christopher Bice
If you’ve lost money investing with Christopher Bice or Sagepoint Financial, you may have a claim. Contact Sonn Law today by filling out our form to submit a confidential message, or call us anytime at 866–827–3202 to schedule a free consultation.
Christopher Bice (CRD#: 3222439) is an actively registered FINRA broker and investment advisor (RIA). Since 2005, Mr. Bice has been associated with Sagepoint Financial. He is currently based in Greensboro, North Carolina. Previously, this advisor was also a representative for SunAmerica Securities and A. G. Edwards & Sons.
Recent Investor Complaints: Sagepoint Financial Financial Advisor Christopher Bice
According to information obtained through FINRA’s BrokerCheck, four customer complaints have been filed against Sagepoint Financial advisor Christopher Bice. Notably, two of these complaints have been filed since 2018 and are still listed as ‘pending’:
● February 2018: An investor filed a complaint alleging losses in unsuitable investments offered by Mr. Bice. This customer is seeking $750,000 in financial compensation.
● November 2018: An investor filed a complaint against Mr. Bice alleging losses as a result of unsuitable investment recommendations, overconcentration of investments, and material misrepresentations. This customer is seeking $1,000,000 in damages.
It should be noted that Mr. Bice has offered a comment in response to both of these claims. He states that he believes that the unsuitable investment complaints are without merit and that he intends to defend the allegations. As was mentioned, both claims are currently still pending.
Jeffrey R. Sonn is a skilled investment fraud lawyer with extensive experience handling the complete range of unsuitable investment claims. If you suffered investment losses working with Sagepoint Financial advisor Christopher Bice, please contact Mr. Sonn today for a free consultation.