Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
January 9, 2025
John Wolf Faces Allegations From Cornerstone Financial Planning Client

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker John William Wolf [CRD: 1846080, Appleton, Wisconsin]. Evidently, John Wolf worked for several firms throughout his career, including Purshe Kaplan Sterling Investments from November 2009 to January 2016, Raymond James Financial Services from June 1996 to September 2009, and Banc One Securities Corporation from […]

January 8, 2025
FINRA Issues Wells Notice Against Marc Harrison

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Marc Harrison [CRD#: 1605568, New York, NY]. Marc Harrison worked for several firms during his career. He has been registered with Reid & Rudiger LLC since November 8, 1999, in New York, New York. Previously, Harrison worked for Emmett A Larkin Company, Inc. in […]

January 7, 2025
Fred Chen Facing Allegations at Emerson Equity LLC

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Fred Chen (also known as Fredrick Chen) [CRD: 5766069, Irvine, California]. Fred Chen worked for LPL Financial LLC from August 17, 2017, to May 15, 2018, Arque Capital, Ltd. from May 8, 2018, to February 24, 2020, and has been employed with Emerson Equity […]

January 7, 2025
Christopher Gordon Facing Allegations of Unsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Christopher J. Gordon (also known as Chris Gordon) [CRD: 5714224, Annapolis, Maryland]. Christopher Gordon worked for Lincoln Financial Securities Corporation from December 2009 to July 2016, then joined Cambridge Investment Research, Inc., where he was employed from July 2016 to February 2023. He is […]

January 6, 2025
Theodore Byrer Facing Morgan Stanley Client Dispute

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Theodore William Byrer (also known as Ted Byrer) [CRD: 2980696, Indianapolis, Indiana]. Theodore Byrer previously worked for Morgan Stanley from November 2013 to April 2023, among other firms, including Raymond James & Associates, A.G. Edwards & Sons, and International Assets Advisory. Recent disclosures raise […]

January 4, 2025
Christopher Jacobi Faces Allegations of Unsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Christopher John Jacobi (also known as Chris Jacobi) [CRD#: 1648679, Pensacola, Florida]. Jacobi has been registered with Ameriprise Financial Services, LLC, since May 28, 2009, and has spent 37 years in the securities industry, working for seven different firms. Recent disclosures have raised concerns […]

January 4, 2025
Gaylord Rohloff (Western International) Facing Client Dispute

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Gaylord Wesley Rohloff [CRD: 1542216, Westlake Village, California]. Evidently, Gaylord Rohloff registered with Western International Securities, Inc. since May 27, 2008. Recent disclosures reveal concerns about Rohloff’s conduct, including allegations of unsuitable investment recommendations and unauthorized trading. July 31, 2024: Western International Securities Client […]

January 3, 2025
Peter Glowacki Facing FINRA Suspension for Unauthorized Trading

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Peter Joseph Glowacki (also known as Pete Glowacki) [CRD: 1156214, Laguna Niguel, California]. Glowacki previously worked for TCFG Wealth Management, LLC from April 2023 to April 2024, and for RBC Capital Markets, LLC from March 1998 to March 2023. Recent disclosures reveal concerns about […]

January 2, 2025
Gregory Whelan Client Files Arbitration Claim Alleging Unsuitable Trading

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Gregory DePaul Whelan (also known as Gregory Whelan) [CRD: 5247677, Fort Lauderdale, Florida]. Gregory Whelan previously worked for UBS Financial Services Inc. from January 2011 to July 2011 and Morgan Stanley from August 2011 to May 2013. Since April 2013, he has been registered […]

Contact us Nationwide USA
2401 E. Atlantic Blvd., Suite 305, Pompano Beach, FL 33062
Helping clients recover money across the USA
search
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved