The allegations read: Claimants allege that financial consultant's investment recommendations to purchase and to hold p.r. Bonds resulted in an over concentrated and high risk portfolio, which were unsuitable positions in light of the stated client's risk tolerance. Claimants also allege that financial consultant made misleading representations regarding the products' risks and liquidity. Claimants also allege that the financial consultant arranged to have the claimants borrow using margin loan.