Articles Tagged with Questar Capital Corporation

William KaczmarekPublicly available records provided by the Financial Industry Regulatory Authority (FINRA) and accessed on July 19, 2018 indicate that former Wisconsin-based Questar Capital Corporation broker/adviser William Kaczmarek has been named in an investigation by state regulatory authorities into alleged rule violations. Fitapelli Kurta is interested in speaking to investors who have complaints regarding Mr. Kaczmarek (CRD# 1434947).

William Kaczmarek has spent 32 years in the securities industry and was most recently registered with Questar Capital Corporation in Delavan, Wisconsin (2013-2018). Previous registrations include Cetera Advisor Networks in Delavan, Wisconsin (2010-2013); Ameritas Investment Corporation in Elkhorn, Wisconsin (2008-2010); ING Financial Partners in Elkhorn, Wisconsin (2002-2008); New England Securities in New York, New York (2000-2002); Financial Network Investment Corporation in El Segundo, California (1999-2000); SII Investments in Appleton, Wisconsin (1998-1999); H. Beck in Bethesda, Maryland (1998); Harbour Investments in Madison, Wisconsin (1997); WMA Securities in Duluth, Georgia (1994-1997); Harbour Investments in Madison, Wisconsin (1994); Wellington Investment Services Corporation in Brookfield, Wisconsin (1990-1994); and Pruco Securities Corporation in Newark, New Jersey (1985-1990). He has passed five securities industry examinations: Series 65 (Uniform Investment Adviser Law Examination), which he obtained on January 14, 1999; Series 63 (Uniform Securities Agent State Law Examination), which he obtained on January 21, 1986; Series 7 (General Securities Representative Examination), which he obtained on August 9, 1993; Series 6 (Investment Company Products/Variable Contracts Representative Examination), which he obtained on December 6, 1985; and Series 24 (General Securities Principal Examination), which he obtained on February 14, 1997. He is currently not registered with any state or firm.

According to his BrokerCheck report, he has been named in an investigation by state regulatory authorities and has received three denied customer complaints.

Brian Zardavets

Publicly available records published by the Financial Industry Regulatory Authority (FINRA) and accessed on December 23, 2017 indicate that Florida-based Questar Capital Corporation broker/adviser Brian Zardavets is involved in a pending customer dispute. Fitapelli Kurta is interested in hearing from investors who have complaints regarding Mr. Zardavets (CRD# 2760607).

Brian Zardavets has spent 20 years in the securities industry and has been registered with Questar Capital Corporation in Ponte Vedra, Florida since 2009. Previous registrations include UVest Financial Services Group in Wayne, Pennsylvania (2006-2009); Wachovia Securities in St. Louis, Missouri (2000-2006); First Union Brokerage Services in Charlotte, North Carolina (2000); Dean Witter Reynolds in Purchase, New York (1998-2000); and Merrill Lynch in New York, New York (1996-1998). he has passed four securities industry examinations: Series 65 (Uniform Investment Adviser Law Examination), which he obtained on November 6, 1997; Series 63 (Uniform Securities Agent State Law Examination), which he obtained on October 7, 1996; Series 31 (Futures Managed Funds Examination), which he obtained on September 12, 1998; and Series 7 (General Securities Representative Examination), which he obtained on September 13, 1996. He is a registered broker and investment adviser with ten US states and territories: Florida, Iowa, Maryland, New Jersey, New York, Oregon, Pennsylvania, South Carolina, Texas and Virginia.

According to his BrokerCheck report, he has received one pending customer complaint.

Andrew CohenPublicly available records provided by the Financial Industry Regulatory Authority (FINRA) and accessed on December 23, 2017 indicate that New Jersey-based Questar Capital Corporation broker/adviser Andrew Cohen has received a pending customer dispute. Fitapelli Kurta is interested in speaking to investors who have complaints regarding Mr. Cohen (CRD# 3068828).

Andrew Cohen has spent 19 years in the securities industry and has been registered with Questar Capital Corporation in Cherry Hill, New Jersey since 2009. Previous registrations include Securities America in Cherry Hill, New Jersey (2008-2009); LPL Financial in Gibbsboro, New Jersey (2003-2008); and Prudential Securities Incorporated in New York, New York (1998-2003). He has passed four securities industry examinations: Series 63 (Uniform Securities Agent State Law Examination), which he obtained on August 13, 1998; Series 65 (Uniform Investment Adviser Law Examination), which he obtained on July 30, 1998; Series 7 (General Securities Representative Examination), which he obtained on July 21, 1998; and Series 24 (General Securities Principal Examination), which he obtained on March 14, 2006. He is a registered broker and investment adviser with 17 US states and territories: California, the District of Columbia, Florida, Illinois, Maryland, Massachusetts, New Hampshire, New Jersey, New York, North Carolina, Ohio, Oregon, Pennsylvania, South Carolina, Tennessee, Texas and Virginia.

According to his BrokerCheck report, he has received one pending customer complaint and one denied customer complaint.

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