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May 10, 2022
Meridian Wealth Management Group Losses in ACN?

Soreide Law Group has filed a FINRA arbitration on behalf of our clients (Claimants) against: MORGAN STANLEY (Respondents). The Claimants, residing in Massachusetts, were longtime employees of Accenture and had accumulated a large concentrated position in Accenture (“ACN”) worth approximately $1.5 million. The Claimants, had no intention of ever selling ACN and were planning on […]

May 10, 2022
Michael Androulakis Discloses Alexander Capital Client Dispute, FINRA Sanctions

Sales Practice Violations Alleged In Alexander Capital Client's Dispute About Broker Michael Androulakis Evidently, FINRA contains important disclosures on broker Michael Scott Androulakis (CRD#: 2793638, New York). Evidently, Androulakis has worked as a securities broker for Alexander Capital LP since 2016. Also, he previously worked as a securities broker for Legend Securities. Let’s take a […]

May 10, 2022
Kyle Davis Involved In Raymond James Investor Dispute

Investor Disputes Involve Securities Broker Kyle Davis (Raymond James, Morgan Stanley) FINRA BrokerCheck indicates that investors alleged improper sales practices involving securities broker and financial advisor Evan Kyle Davis “Garry Davis” (CRD#: 2995789, Atlanta, Georgia) and that those violations resulted in damages. Notably, Davis worked for Raymond James (his employer from 2013 to 2019), Morgan […]

May 9, 2022
Theodore Franse Involved In IFG Investor Dispute

Clients Of Independent Financial Group And First Allied Securities Allege Damages By Broker Theodore Franse Soreide Law Group is examining investor complaints concerning securities broker Theodore Hendrickus Franse (CRD#: 1418012, Fair Oaks, California), as reported on FINRA BrokerCheck. It appears that the disclosures involving Franse concern his employment at securities firms Independent Financial Group (he […]

May 9, 2022
Mark Potocsny Involved In Morgan Stanley Investor Dispute

Morgan Stanley Clients, AG Edwards Clients Bring Investment Disputes Concerning Mark Potocsny Investment loss recovery counsel at Soreide Law Group provides this update on securities broker Mark Julius Potocsny (CRD#: 2417184, Cheshire, Connecticut), who discloses information about investor disputes on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Particularly, Potocsny, who worked for securities firms Morgan Stanley […]

May 8, 2022
Sean McElduff In Hennion Walsh Client Dispute

Broker Sean McElduff Faces Investor Disputes From Hennion Walsh Clients Soreide Law Group comes to you with new information relating to the FINRA BrokerCheck disclosures on securities broker Sean J. McElduff (CRD#: 5565355, Parsippany, New Jersey). It appears that the disclosures involving McElduff concern his employment at Hennion Walsh (2008 - present). McElduff also works […]

May 8, 2022
Shane Falcon Involved In NSC Investor Dispute

Broker Shane Falcon (National Securities Corp) Faces Investor Disputes Involving Private Placements, Equities The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Shane Rene Falcon (CRD#: 5626256, Miami, Florida). Evidently, Falcon worked at GunnAllen Financial and CBG Financial Group before joining National Securities Corporation. Evidently, he worked at National Securities […]

May 7, 2022
Bryan Bordelon Involved In Raymond James Investor Dispute

Broker Bryan Bordelon (Raymond James, Morgan Keegan) Facing Investor Disputes FINRA BrokerCheck indicates that investors alleged inappropriate sales practices involving securities broker Bryan Kirk Bordelon (CRD#: 3175386, New Orleans, Louisiana). It appears that the disclosures involving Bordelon concern his employment at Raymond James Associates Inc. (he has been a securities broker and financial advisor since […]

May 6, 2022
Debbie Herrmann Barred, Involved In Farmers Investor Dispute

Transamerica And Farmers Clients File Disputes Alleging Damages Caused By Broker Debbie Herrmann Investment loss recovery counsel at Soreide Law Group provides this update on securities broker Deborah Lynn Herrmann (AKA Debbie Herrmann and Debbie Gniech) (CRD#: 5204514, Wheaton, Illinois), who discloses information about a regulatory action and investor dispute on Financial Industry Regulatory Authority […]

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