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May 24, 2022
Shim Plotkin Involved In IFG Investor Dispute

Client Of IFG Files Dispute Involving Alternative Investments By Shim Plotkin Soreide Law Group is examining investor complaints concerning securities broker Shimshon Plotkin “Shim Plotkin” (CRD#: 2431863, Chevy Chase, Maryland), as disclosed on FINRA BrokerCheck. Evidently, Plotkin worked for Independent Financial Group LLC (2011 - present). Also, he worked for Pacific West Securities Inc. (2006 […]

May 23, 2022
Larry Boggs Involved In First Allied Investor Dispute

Client Of First Allied Securities Files Dispute About Larry Boggs' Annuity Recommendations Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker Larry Glenn Boggs (CRD#: 1874727, Atlanta, Georgia). Notably, Boggs discloses information about investor disputes on FINRA BrokerCheck. Evidently, he was a securities broker at First Allied Securities  […]

May 23, 2022
PORTSMOUTH FINANCIAL GWG Bond Clients

Soreide Law Group is currently investigating potential claims made by investors who purchased GWG L Bonds through PORTSMOUTH FINANCIAL SERVICES and/or their registered representative, KELLY S LAWSON (Also known as KELLY S OTOOLE, KELLY SUELLYN OTOOLE).  Allegedly, other PORTSMOUTH FINANCIAL clients may have also been sold GWG L Bonds in large concentrations. According to a […]

May 22, 2022
Tuan Ngo Involved In VFG Investor Dispute

Investor Dispute Concerns Tuan Ngo And VFG Securities New FINRA BrokerCheck disclosures concern securities broker Tuan Anh Ngo “Toon Ngo” (CRD#: 2819426, New York, New York). Evidently, Ngo worked as a financial advisor for VFG Advisors from 2011 to 2018. Also, he was a securities broker for VFG Securities Inc. from 2010 to 2017. Here […]

May 22, 2022
Ian Ha Barred, Involved In AXA Investor Dispute

Barred Securities Broker Ian Ha Involved In AXA Advisors Client Disputes The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Ian Ha (CRD#: 5679255, Los Angeles, California). It appears that the disclosures involving Ha may concern his employment at securities firms Infinity Financial Services (his employer from 2018 to 2020) […]

May 20, 2022
Dudley Stephens Barred As Securities Broker

Broker Dudley Stephens Sanctioned By FINRA, Involved In An Investor Dispute Soreide Law Group is reviewing investor complaints concerning securities broker Dudley Franklin Stephens “Stephen Franklin Dudley” (CRD#: 4119268, New York, New York), as disclosed on FINRA BrokerCheck. It appears that Stephens worked for Coastal Equities (2016 to 2018) and Prospera Financial Services (2014 to […]

May 20, 2022
John Quinn Suspended As Securities Broker

FINRA Suspends, Fines Securities Broker John Quinn Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker John Daniel Quinn (CRD#: 2576416, Beverly Hills, California), who discloses information about a client dispute and regulatory enforcement action on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Quinn was a securities broker […]

May 19, 2022
Roger A Graham Formerly of Wells Fargo

In a recent AdvisorHub article, it was reported that Wells Fargo Advisors terminated one of its San Antonio, Texas brokers, Roger A Graham, earlier this year.  Wells Fargo Advisors gave the justification that could be a warning to other brokers for excessive trading in their own accounts. Wells Fargo said it had terminated Roger A Graham, […]

May 19, 2022
Jimmy Nunez Suspended, Involved In Allstate Investor Dispute

Allstate Broker Jimmy Nunez Suspended By FINRA And Involved In Investor Dispute Soreide Law Group discusses disclosures on Jimmy William Nunez (CRD#: 6432136, Edgewater, New Jersey). Evidently, Nunez worked as a securities broker for Allstate Financial Services from 2015 to 2020. Let’s take a closer look at the allegations of unauthorized transactions as reported on […]

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