The Sonn Law Group has substantial experience representing investors who have suffered losses because their advisor violated FINRA’s rule against outside business activities. Call us[…]
Kevin Woolf is a former FINRA-registered broker (CRD# 6145312). Mr. Woolf was employed by Morgan Stanley beginning in 2012. He worked there just three years before voluntarily resigning in 2016. In January of 2018, Mr. Woolf was expelled by FINRA after he failed to cooperate with investigations into allegations that he engaged in undisclosed outside business activities.
If you’ve invested money with Kevin Woolf and suffered losses, contact the Sonn Law Group today for a free review of your case.