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January 6, 2025
Ceondre Colvin Investigated by FINRA for Alleged Violations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Ceondre LaQuan Colvin [CRD: 7329753, Pittsburgh, Pennsylvania]. Ceondre Colvin worked for NYLIFE Securities LLC from September 2022 to June 2024. Prior to this, he held positions at non-securities-related employers and managed his own businesses. Recent disclosures raise concerns about Colvin’s professional conduct, including allegations […]

January 3, 2025
MML's Christopher Bailey Barred by FINRA Following Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Christopher Todd Bailey (also known as Chris Bailey) [CRD#: 6907048, Cumming, Georgia]. Bailey worked for NYLIFE Securities LLC from May 2021 to January 2022 and later joined MML Investors Services, LLC from November 2022 to March 2024. Recent disclosures highlight concerns about Bailey’s conduct, […]

January 2, 2025
Jae Kim Facing Allegations of Misconduct at E1 Asset Management

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Jae Hun Kim (also known as Jae Kim) [CRD: 4620963, Cortlandt Manor, New York]. Jae Kim worked for E1 Asset Management, Inc. from February 2003 to March 2024, a tenure spanning 21 years. Recent disclosures reveal concerns about Kim’s conduct as both financial advisor […]

October 24, 2024
Tilak Shah (NYLife) Barred by FINRA

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Tilak J. Shah [CRD: 6416854, Boston, Massachusetts]. Evidently, Shah worked for NYLife Securities LLC in 2022 and Cetera Investment Services from 2022-2023 . Keep reading to learn more about the regulatory actions and client dispute surrounding Shah, including the recent allegations that led to […]

October 22, 2024
Ronnie Dumag Barred by FINRA for Refusing to Cooperate

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals important details about securities broker Ronnie Rindon Dumag (also known as Ronnie R. Dumag) [CRD: 4783585, Sacramento, California]. Dumag worked for PFS Investments Inc. from August 16, 2004, to May 22, 2024. Recently, Dumag faced allegations involving harm to an elderly client. Evidently, FINRA barred him from the […]

October 18, 2024
Marat Likhtenstein Barred by FINRA Following Termination from Osaic Wealth

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Marat Likhtenstein [CRD: 2470480, Brooklyn, New York]. Evidently, Likhtenstein worked for Osaic Wealth Inc. from November 2, 2018, to June 27, 2024. Keep reading to learn about Likhtenstein’s termination and FINRA's investigation, which resulted in his permanent bar from the industry. FINRA Launches Investigation […]

October 15, 2024
Jordan Stentiford Barred Amid FINRA Investigation Over Forgery Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Jordan Stentiford [CRD: 6946439, Ridgeland, Mississippi]. Stentiford worked for Northwestern Mutual Investment Services LLC from February 24, 2020, to November 29, 2023. Here’s more on a FINRA investigation that resulted in Stentiford being barred as a securities broker. FINRA Barred Jordan Stentiford For Refusing […]

October 15, 2024
Jonathan Gervaise Barred by FINRA for Failure to Comply

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Jonathan Micheal Gervaise [CRD: 5492872, Radnor, Pennsylvania]. Gervaise worked for Lincoln Financial Distributors Inc. from September 9, 2019, to April 1, 2022, and also worked for Pruco Securities LLC and Jackson National Life Distributors LLC in the years following. His recent history, however, includes […]

October 13, 2024
John Perez-Cubero Barred by FINRA Over Investigation

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker John Abraham Perez-Cubero [CRD: 6674954, Short Hills, New Jersey]. Perez-Cubero worked for Morgan Stanley from April 4, 2018, to October 6, 2023. His refusal to comply with a FINRA investigation has led to his expulsion from the securities industry. Read on to learn more […]

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