FINRA Brings Complaint against Securities Equity Group Broker J. Randall Gladden for Outside Business Activities in Church Development Loans

On December 28, 2015, the Financial Industry Regulatory Authority (FINRA) filed a complaint against J. Randall Gladden (Gladden) in connection with allegations Gladden engaged in outside business activities and lied about the sales activity when questioned. FINRA alleges Gladden solicited seven investors to collectively invest more than $2.Read the full article