Latest Securities Lawyer News

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January 12, 2023
Ryan Fleming Discloses Allegations Of Misrepresentation

Investors have come forward with complaints about securities broker Ryan Thomas Fleming (CRD:  4378425, Bellevue, WA). Evidently, the securities broker, who worked for Hornor Townsend Kent LLC, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Hornor Townsend Kent LLC clients allege that Fleming made misrepresentations and made unsuitable recommendations. For more on […]

January 10, 2023
Bill Burks Discloses Allegations By Centaurus Client

Soreide Law Group is investigating possible investor claims against securities broker Bill Burks (also known as William Charles Burks II) (CRD:  2944992, Flower Mound, TX). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Centaurus Financial Inc. Evidently, one or more investors alleged […]

January 9, 2023
Are Variable Annuities a Good Investment in a High Interest Rate Environment?

Annuities are contracts and vary from company to company about their terms and conditions. As a securities lawyer who has reviewed hundreds of annuity contracts for our clients there are several concerns everyone should be aware of before locking up your money. The first is the money is truly locked up as it has to […]

January 7, 2023
James Baroutas Discloses Allegations Of Unauthorized Trading

Investors have come forward with complaints about securities broker James Baroutas (CRD:  1252613, New York, NY). Evidently, the securities broker, who worked for B. Riley Wealth Management, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, B. Riley Wealth Management clients allege that Baroutas engaged in unauthorized trading. For more on these disclosures […]

January 6, 2023
FINRA Issues Sanctions To John Barnes

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker John Charles Barnes (CRD:  862738, Naples, FL). Not only has FINRA sanctioned Barnes for unauthorized trading, but investors disputed the sales practices of the securities broker. However, Barnes denies the allegations. Read on to learn more about the allegations against Barnes. FINRA Issues […]

January 6, 2023
Investors File Disputes About Vincent Annable

Soreide Law Group is investigating possible investor claims against securities broker Vincent Keith Annable (CRD: 1033573, Nashville, TN). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Center Street Securities Inc. Evidently, one or more investors alleged that Annable made unsuitable recommendations and […]

December 30, 2022
FINRA Sanctions Eric Willer

Soreide Law Group is investigating possible investor claims against securities broker Eric Willer [CRD: 2263899, Irving, Texas]. Notably, FINRA sanctioned the securities broker, who worked for Fusion Analytics Securities LLC. Allegedly, Willer made unsuitable recommendations. Here is a brief summary of FINRA’s allegations against Willer. FINRA Sanctions Fusion Analytics Securities LLC Securities Broker For Unsuitable […]

December 30, 2022
Jon Vinge Disclosed Allegations Of Breach Of Fiduciary Duty

Investors have come forward with complaints about securities broker Jon Vinge [CRD: 4445831, Seattle, Washington]. Evidently, the securities broker, who worked for Intervest International Equities Corporation, disclosed client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Intervest International Equities Corporation clients allege breach of fiduciary duty, unsuitability, and misrepresentation, among other things. For more […]

December 29, 2022
Investors File Disputes About Clara Tang

Investors have come forward with complaints about securities broker Clara Chen Tang [CRD: 4852979, Cupertino, California]. Evidently, the securities broker, who worked for Cetera Investment Services LLC, disclosed client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Cetera Investment Services LLC clients allege unsuitable recommendations, breach of fiduciary duty, among other things. For more […]

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