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July 29, 2025
Lorraine Geiss Involved In MML Investors Services Client’s Misrepresentation Complaint

Investors potentially experienced sales practice violations because of securities broker Lorraine Henry Geiss (also known as Lori Henry Geiss and Lorraine Marie Henry) [CRD: 1982429, Milwaukee, Wisconsin], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Lorraine Geiss worked for MML Investors Services LLC from March 25, 2017 to June 18, 2019. Keep reading […]

July 29, 2025
Edward Baroncini Facing LPL Financial Client Complaints Alleging Failure To Supervise

Investors may have incurred losses due to securities broker Edward Alfred Baroncini Jr. [CRD: 3043354, Bradenton, Florida], based on publicly available information found on FINRA BrokerCheck. Edward Baroncini joined LPL Financial LLC on December 11, 2014, and Excel Wealth Management LLC on January 28, 2019. See the following information to find out more about the […]

July 29, 2025
Derrick Watts Connected To B. Riley Client Complaint Concerning Misrepresentation

Investors reportedly complained about securities broker Derrick Timothy Watts [CRD: 2479608, Chicago, Illinois], according to public information reported on FINRA BrokerCheck. Derrick Watts joined Packerland Brokerage Services Inc. in Chicago, Illinois as both a securities broker and a financial advisor in January 2020. Before that, Watts worked with B. Riley Wealth Management in St. Charles, […]

July 28, 2025
Christopher Brothers Connected To Maxim Group Clients’ Arbitration Claims Re: Breach Of Fiduciary Duty

Investors reportedly complained about securities broker Christopher Thomas Brothers (also known as Chris Brothers) [CRD: 2186156, Fort Lauderdale, Florida], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Christopher Brothers joined Maxim Group LLC on November 18, 2009. See the following information to find out more about the disclosures related to Brothers and the […]

July 28, 2025
Stuart Spivak Involved In Centaurus Client Disputes Alleging Misrepresentation

Investors may have incurred losses due to securities broker Stuart Jay Spivak [CRD: 1883651, Scottsdale, Arizona], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Spivak joined Centaurus Financial Inc. on May 29, 2008, as a securities broker and on June 16, 2008, as a financial advisor. Keep reading to understand more about the […]

July 28, 2025
Travis Braulick Linked To Complaints From Clients Of Calton Associates, Bankers Life

One or more investors possibly experienced losses because of securities broker Travis Loren Braulick [CRD: 6716541, New Ulm, Minnesota], based on public information found on FINRA BrokerCheck. Braulick joined Calton Associates Inc. on August 29, 2024. Prior to that, he worked for Bankers Life Securities Inc. in Rochester, Minnesota, from April 24, 2019 to September […]

July 27, 2025
Richard Belz At Center Of RF Lafferty Investors’ Unsuitable Advice Arbitration Claims

Investors reportedly complained about securities broker Richard John Belz [CRD: 1140219, New York, New York], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Belz joined RF Lafferty Co. Inc. on November 29, 2016, and continues to work with the firm at its Wall Street office. Read below to know more about the pending […]

July 27, 2025
John Schlagheck Facing Intervest Clients’ Negligence Claims Over GWG Bonds

Investors potentially experienced sales practice violations due to securities broker John Francis Schlagheck [CRD: 1040673, Ottawa Lake, Michigan], according to publicly available information reported on FINRA BrokerCheck. John Schlagheck worked for Intervest International Equities Corporation from August 17, 2017 to October 5, 2022, and Cape Securities Inc. from October 18, 2022 to March 6, 2023. […]

July 27, 2025
Michael Siek Connected To Aegis Capital Corp Clients’ Unsuitable Recommendations Claims

Investors may have incurred losses because of securities broker Michael Rolf Siek [CRD: 2072767, New York, New York], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Siek worked for Aegis Capital Corp. from December 8, 2014 to April 3, 2024, and joined Dominari Securities LLC on March 4, 2024. See the following information […]

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