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January 21, 2024
Ronald Molo Involved In Client Disputes Concerning Misappropriation

FINRA BrokerCheck shows that investors have contested the sales practices of Ronald Terrence Molo [CRD: 4371241, Joliet, Illinois]. Also, SEC and FINRA sanctioned the securities broker, who worked for Edward Jones from 2001 to 2021. Here’s more about those disclosures. Ronald Molo Barred By SEC For Misappropriation On November 8, 2023, the United States Securities […]

January 21, 2024
Rene Castro Facing Disputes Over Investment Advice At Center Street

Soreide Law Group is currently reviewing potential claims for investors who might have experienced financial losses due to the actions of Rene Javier Castro [CRD: 2559410]. Evidently, she joined Great Point Capital LLC in Chicago, Illinois, on November 14, 2019. Previously, Rene Castro was linked with Center Street Securities Inc. in Upland, California, along with […]

January 20, 2024
Gary Costello Disclosed Oppenheimer Client’s Suitability Dispute

Soreide Law Group is examining potential claims for investors who may have suffered financial setbacks involving Gary Costello [CRD: 6117388, Boca Raton, Florida]. Evidently, he joined Aegis Capital Corp. in Boca Raton, Florida on September 11, 2023. Prior associations of Costello include Truist Advisory Services Inc. and Oppenheimer Co. Inc. This article outlines information about […]

January 19, 2024
Delio Londono Involved In Sagepoint Client Disputes

Soreide Law Group is presently reviewing potential claims on behalf of investors who have suffered losses potentially attributed to Delio Eduardo Londono [CRD: 2695744, La Crescenta, California]. Evidently, he worked for SagePoint Financial Inc. from May 6, 2010, to September 16, 2020. On FINRA BrokerCheck, Londono disclosed multiple allegations outlined below. Sagepoint Financial Investor Alleged […]

January 19, 2024
Eric Kleiner Involved In Morgan Stanley Investor Dispute

FINRA BrokerCheck shows that investors have potentially suffered losses due to Eric Brian Kleiner [CRD#: 4135180, New York, NY]. Since September 9, 2016, Kleiner has been affiliated with Morgan Stanley. However, his professional history also includes positions at Wells Fargo Advisors LLC and Wachovia Securities LLC. This article highlights some of the investor disputes disclosed […]

January 18, 2024
Peter Lawrence Facing Allegations Of Misrepresentation

Soreide Law Group is examining potential claims for individuals who encountered financial setbacks due to the actions of securities broker Peter Lawrence [CRD#: 2695687, Hauppauge, New York]. Lawrence was employed with American Portfolios Financial Services Inc. in Hauppauge, NY from January 8, 2019, to November 21, 2023, after his employment with Questar Capital Corporation in […]

January 18, 2024
Cetera Investors Claims About Rebecca Ng-Tsang

Soreide Law Group is currently investigating potential claims on behalf of investors who have encountered financial setbacks potentially linked to the actions of securities broker Rebecca King Wah Ng-Tsang [CRD#: 5578435, Bellevue, Washington]. Ng-Tsang was previously affiliated with Cetera Investment Services LLC in Bellevue, Washington, from January 3, 2013, to November 11, 2021. This overview […]

January 17, 2024
James Mariani Involved In Aegis Investor Disputes

Soreide Law Group is looking into potential claims for investors who have faced financial losses tied to the actions of securities broker James Mariani [CRD#: 2932631, Mineola, New York]. Mariani, previously affiliated with Aegis Capital Corp. from September 6, 2017, to September 10, 2021, and with National Securities Corporation in the same city from January […]

January 15, 2024
UBS Investors’ Misrepresentation Claims Involve Mark Elias

Soreide Law Group is investigating potential claims on behalf of investors who have incurred financial losses due to the actions of Mark Steven Elias (CRD#: 2938707, Houston, Texas). Elias, who has been registered with UBS Financial Services Inc. since January 31, 2003, is involved in investor disputes that have alleged investment-related misconduct. The focus of […]

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