Clyde Thornburg, a former financial advisor at International Financial Solutions, Woodbury Financial Services, and NEXT Financial Services in Sarasota, Florida has been permanently barred from associating with any FINRA members in any capacity stemming from his failure to cooperate with a FINRA investigation regarding his misconduct selling unit investment trusts (UITs) and mutual funds. Mr. Thornburg was also accused of violating FINRA and SEC rules, and was the subject of customer complaints relating to improper variable annuity sales, unauthorized trading, and churning.
Gilman Law LLP is investigating claims on behalf of Mr. Thornburg’s former clients that received unsuitable investment recommendation in UITs, and were charged excessive commissions in their accounts.
Gilman Law LLP is a leading securities fraud law firm and is here to help you recover for improper investment advice by Mr. Thornburg and his former employers International Financial Solutions, Woodbury Financial Services, and NEXT Financial Services. For a free evaluation of your case, please fill out our online form, or if you need to speak with an attorney right away CALL TOLL FREE (1-888-252-0048) today.