Articles Tagged with Destra Capital Markets

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Hodes WeillPublicly available records provided by the Financial Industry Regulatory Authority (FINRA) and accessed on March 13, 2018 indicate that Illinois-based Destra Capital Markets and New York-based Hodes Weill Securities broker Myles Blechner has received pending customer disputes. Fitapelli Kurta is interested in speaking to investors who have complaints regarding Mr. Blechner (CRD# 2709013).

Myles Blechner has spent 18 years in the securities industry and has been registered with Destra Capital Investments in Chicago, Illinois since August 2017 and with Hodes Weill Securities in New York, New York since 2016. Previous registrations include Lebenthal & Company in New York, New York (2014-2016); Muniaxis Lebenthal & Company in New York, New York (2014); First Empire Securities in Hauppage, New York (2011-2014); Laidlaw & Company in New York, New York (2009-2011); Schon-Ex LLC in Jericho, New York (2006-2009); Schonfeld Securities in Jericho, New York (2006-2009); UBS Financial Services in Mitchel Field, New York (2002-2006); F1 Trading.com in Mineola, New York (2002); Global Capital Securities Corporation in Englewood, Colorado (2001-2002); Global Capital Markets in Melville, New York (1999-2001); the Dreyfus Service Corporation in New York, New York (1997-1999); the JB Sutton Group in Melville, New York (1997-1999); and GKN Securities Corporation in New York, New York (1996-1997). He has passed nine securities industry examinations: Series 63 (Uniform Securities Agent State Law Examination), which he obtained on April 16, 1996; Series 55 (Limited Representative-Equity Trader Exam), which he obtained on January 17, 2012; Series 7 (General Securities Representative Examination), which he obtained on April 9, 1996; Series 53 (Municipal Securities Principal Examination), which he obtained on September 8, 2010; Series 4 (Registered Options Principal Examination), which he obtained on February 22, 2010; Series 14 (NYSE Compliance Officer Examination), which he obtained on December 1, 2006; Series 10 (General Securities Sales Supervisor – General Module Examination), which he obtained on April 1, 2003; Series 9 (General Securities Sales Supervisor – Options Module Examination), which he obtained on February 3, 2003; and Series 24 (General Securities Principal Examination), which he obtained on January 19, 2000. He is a registered broker with two US states: Illinois and New York.

According to his BrokerCheck report, he has received two pending customer complaints.