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April 19, 2021
John LoPinto Facing Worden Capital Investor Disputes

Worden Capital Investors File Disputes About Securities Broker John LoPinto It appears that investors have come forward in dispute of securities broker John Michael LoPinto (CRD#: 4563735, New York, New York). In total, Financial Industry Regulatory Authority (“FINRA”) reveals that four investors took aim at LoPinto alleging sales practices violations. SEC also sanctioned him. Here’s […]

April 18, 2021
Gilberto Briseno Involved In LPL Investor Disputes

Investors File Disputes About Broker Gilberto Briseno's Investment Recommendations At LPL Financial Soreide Law Group is examining whether to file disputes on behalf of investors against securities broker Gilberto Briseno (CRD#: 1939355, Boutte, Louisiana). Evidently, the Financial Industry Regulatory Authority (“FINRA”) reports that three investors took issue with Briseno’s sales practices. Read on to learn […]

April 18, 2021
Scott Barber Involved In Suitability Disputes

Securities Broker Scott Michael Barber Involved In Disputes About Suitability Of REIT Transactions The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that investors filed disputes in regard to securities broker Scott Michael Barber (CRD#: 4822754, DuBois, Pennsylvania). Here’s what clients have alleged against this broker, and what you could do if you sustained losses because […]

April 18, 2021
Jonah Engler Facing Investor, Regulatory Lawsuits

Investors, Regulators File Lawsuits Regarding Securities Broker Jonah Engler The Financial Industry Regulatory Authority (“FINRA”) confirms through BrokerCheck that 16 investors challenged the sales practices of securities broker Jonah Engler (CRD#: 4216259, New York, New York). Evidently, these investor disputes contain allegations of Engler making unsuitable and unauthorized trades in client accounts. Moreover, BrokerCheck shows […]

April 16, 2021
Chad Barancyk Involved In Investor Disputes

Investors File Disputes About Securities Broker Chad Barancyk's Sales Practices Investors have disputed the sales practices of First Allied Securities broker Chad Ryan Barancyk (CRD#: 4921433, Chicago, Illinois), according to the Financial Industry Regulatory Authority (“FINRA”). Namely, there are three investors who have alleged sales practice violations by Barancyk. Also, BrokerCheck shows that FINRA briefly […]

April 16, 2021
Lodging Fund REIT III Losses?

Securities Regulator Reportedly Investigating Lodging Fund REIT III Over Reimbursement Policy The Securities and Exchange Commission (“SEC”) has reportedly opened an investigation into Lodging Fund REIT III Inc. Critically, this investigation might have an adverse effect on the value of your Lodging Fund REIT III holdings. Here’s more about Lodging Fund REIT and the investigation. […]

April 12, 2021
Todd Ellentuck Subject Of Investor Disputes

Investors File Disputes About Broker Todd Ellentuck (Aegis, UBS) The Financial Industry Regulatory Authority (“FINRA”) reports serious information about a securities broker by the name of Todd Michael Ellentuck (CRD#: 1321452, Morristown, New Jersey). Mainly, at least three investors disputed Ellentuck’s sales practices. In addition, UBS Financial Services Inc. disaffiliated with Ellentuck due to unauthorized […]

April 12, 2021
Jon Pyne In Berthel Fisher Disputes

Securities Broker Jon Pyne Involved In Seven Investor Disputes Soreide Law Group has come across important information in regard to Jonathan Todd Pyne (CRD#: 2580510, Minneapolis, Minnesota). Notably, the Financial Industry Regulatory Authority (“FINRA”) indicates that Pyne, who is a securities broker and financial advisor with Berthel Fisher and BFC Planning, is involved in seven […]

April 7, 2021
Bill Young Involved In Investor Disputes

Securities Broker Bill Young Involved In H. Beck Investor Disputes The Financial Industry Regulatory Authority (“FINRA”) reports through BrokerCheck that investors complained about the sales practices of William “Bill” Robert Young (CRD#: 4787488, Rockville, Maryland). It appears that these disputes, all of which have been filed between 2018 to 2021, involve Young’s actions at H. […]

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