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October 25, 2024
Walter Squires Jr. Facing Allegations of Unsuitable Recommendations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Walter Frank Squires Jr. [CRD: 1955992, Derby, Connecticut]. Squires worked for LPL Financial LLC from 2011 to 2020 and Osaic Institutions Inc. from 2020 to 2024. Recent complaints allege that Squires engaged in unsuitable investment recommendations during his time at the firm. Read on […]

October 24, 2024
Timothy Tremblay Facing Allegations of Unsuitable REIT Recommendations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Timothy Neil Tremblay [CRD: 1201542, Santa Barbara, California]. Tremblay has worked for Centaurus Financial Inc. since May 16, 2003, where he worked as both a securities broker and financial advisor. A recent arbitration claim filed about Tremblay involves allegations of unsuitable recommendations of real […]

October 23, 2024
Thomas Moran Facing Allegations of Misrepresentation

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Thomas Edwin Moran [CRD: 1938300, New York, New York]. Evidently, Moran has worked for Citigroup Global Markets Inc. since January 4, 2013. Previously, he worked for Gruntal Co. LLC. Investors have raised concerns about Moran’s sales practices, leading to client disputes over the years. […]

October 23, 2024
Stewart Ginn Suspended for Excessive Trading at IFG

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Stewart Ginn (also known as Stewart Taylor and Paxton Ginn Jr.) [CRD: 4503197, Santa Maria, California]. Evidently, Ginn joined Independent Financial Group LLC on September 3, 2015, and worked for Navian Capital Securities LLC in Cincinnati, Ohio, from February 18, 2021, to March 10, […]

October 22, 2024
Stephen Haskell Facing Allegations of Breach of Fiduciary Duty at WealthForge

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Stephen Paul Haskell [CRD: 6864948, Richmond, Virginia]. Haskell has worked for securities firms including WealthForge Securities LLC, where he was involved in the sale of private placements, and FNEX Capital LLC, where he has been employed since January 21, 2022. Some investors have raised […]

October 21, 2024
Ronald Berg Barred by FINRA for Noncompliance

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Ronald Harland Berg [CRD: 19008, Anaheim, California]. Evidently, Berg worked for Innovation Partners LLC until May 31, 2024, when FINRA permanently barred him from associating with any FINRA member. Keep reading to learn more about Berg’s client disputes and the regulatory actions against him. […]

October 21, 2024
Ronald Smith Facing Allegations of Breach of Fiduciary Duty

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Ronald G. Smith (also known as Ron Smith) [CRD: 6038062, Stamford, Connecticut]. In 2024, Smith joined Sanford C. Bernstein Co. LLC and Alliance Bernstein LP. He worked for Spartan Capital Securities LLC from July 1, 2013, to December 26, 2023. Investors filed claims about […]

October 21, 2024
Robert Rasbach Facing Allegations of Misrepresentation at David Lerner

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures concerning securities broker Robert Nelson Rasbach [CRD: 1204704, Westport, Connecticut]. Rasbach worked for David Lerner Associates Inc. from April 7, 2000, to February 22, 2021. He then worked at Benchmark Investments LLC from February 17, 2021, to May 19, 2023. Evidently, he joined Kingswood Capital Partners LLC […]

October 20, 2024
Patty Dawson Accused of Misrepresentation at Stifel Nicolaus

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures concerning Patty Jane Dawson [CRD: 1280879, Ann Arbor, Michigan]. Dawson worked for Stifel Nicolaus Company Inc. from August 19, 2005, to October 10, 2023. Notably, Dawson faced client complaints during her time with the firm, with one or more investors alleging violations of securities laws. Continue reading […]

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