Stoltmann Law Offices is investigating William Gillis, a broker with National Securities Corp in Seattle, Washington. Mr Gillis has been accused of making poor recommendations and providing poor advice, breaching fiduciary duty, acting negligently, misrepresenting and omitting material facts, among other things. These are all against securities rules and regulations. Please call us today if you have suffered losses with Mr. Gillis. We may be able to help you recover your losses by suing National Securities Corp in the Financial Industry Regulatory Authority (FINRA) arbitration forum. The call to us is free with no obligation. We take cases on a contingency fee basis only.
Mr. Gillis was registered with E.F. Hutton & Co. from July 1986 until February 1988, CIBC World Markets Corp in New York, New York from January 1988 until February 2001, Wachovia Securities in Seattle, Washington from February 2001 until August 2008 and National Securities Corp in Seattle, Washington from August 2008 until June 2015. He has 22 customer disputes against him, seven of which are currently pending. He is not registered within the industry.