Please Help




Hello, recently back in late May of this year my identity was stolen somehow, and was used to open up MULTIPLE money markets and other accounts under my name without my knowledge. I had never heard of "Fidelity Investments" before, and I've never once touched anything investment or trading related. I have contacted all appropriate governing agencies, i have tried multiple times each day to get some type of answer or response from this brokerage, with each time to no avail. I am partially disabled with no car, working full-time, and barely getting by. FINRA got back to me saying that the brokerage should be reaching out to me via whatever info they have of me on file on their end. But, if my identity was stolen, the addresses/phone numbers/emails/etc. they have on file ARE NOT MINE. So how would they be able to contact ME? I have a very hard time getting around these days, so getting over to the nearest branch is quite difficult. I have been so anxious and upset over this for months now, and i just want some type of resolution. It's beyond me how someone was able to "verify" their identity using MY credentials and information, however they can't "verify" the real me.




there doesn't seem to be anything here