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January 12, 2022
John Milo Facing Misrepresentation Disputes From Clients

Key Investment Services Clients Allege Misrepresentation, Unsuitable Transactions In Disputes About Broker John Milo Soreide Law Group comes to you with new information in regard to securities broker John Patrick Milo (CRD#: 1824688, Dayton, Ohio). Namely, Milo worked as a securities broker and financial advisor representative of Key Investment Services LLC (2012 to 2021). He […]

January 12, 2022
Joshua Helmle Involved In Integrity Investor Dispute

Client Files Dispute About Barred Integrity Broker Joshua Helmle Financial Industry Regulatory Authority (“FINRA”) shows new information on BrokerCheck regarding securities broker Joshua Nathan Helmle (CRD#: 2195760, Monterey Park, California). Specifically, a client filed a dispute alleging sales practice violations. This comes after Integrity Brokerage LLC permitted Helmle to resign and after FINRA indefinitely barred […]

January 11, 2022
MICHAEL F SHILLIN Barred by SEC and FINRA

Soreide Law Group has filed a complaint against A.G.P./ALLIANCE GLOBAL PARTNERS, located in Altoona, Wisconsin, for failing to supervise their former registered representative, MICHAEL FRANCIS SHILLIN (MICHAEL F SHILLIN CRD#: 5927156). Schillin has been barred by both the SEC and FINRA. The SEC, in September of 2021, charged MICHAEL F SHILLIN of Appleton, Wisconsin, with […]

January 8, 2022
Northstar Bermuda Liquidation

Soreide Law Group Representing Potential Victims Of Northstar Bermuda Soreide Law Group is reviewing potential investor claims to bring against financial advisors and securities brokers who possibly gave unsuitable advice or committed other sales practice violations relating to Northstar Financial (Bermuda) Ltd. investment products. Let’s take a closer look at Northstar, including how Soreide Law […]

January 7, 2022
LJM Preservation & Growth Fund Losses

The Financial Industry Regulatory Authority (FINRA) has censured and fined, Advisor Group subsidiary, Triad Advisors, over $700,000 for alleged recommendations of an alternative mutual fund, LJM Preservation & Growth Fund (LJM), that allegedly cost clients hundreds of thousands of dollars in financial losses, according to a recent article in Financial Advisor IQ. According to FINRA, […]

January 6, 2022
JEFFREY L SLOTHOWER Arrested

JEFFREY L SLOTHOWER (JEFFREY LEONARD SLOTHOWER) CRD#: 3064787, a former financial advisor and broker, previously registered with Merrill Lynch in New York, was arrested in Southampton, New York, and charged with wire fraud, investment advisor fraud and money laundering.  After leaving Merrill Lynch,  Slothower started his own advisory firm, Battery Private. Allegedly, Slothower was involved […]

January 5, 2022
William A Fochi Jr Fined and Suspended

Soreide Law Group obtained the following information from FINRA's December 2021 Disciplinary Report. William A Fochi Jr (BILL FOCHI JR, WILLIAM A FOCHI) (CRD #1773450, Hebron, Connecticut) On October 6, 2021, an Acceptance, Waiver and Consent (AWC) was issued in which William A Fochi Jr was fined $10,000 and suspended from association with any FINRA […]

January 5, 2022
Glenn Edward Brandon Jr Barred by FINRA

The following information is from FINRA’s December 2021 Disciplinary report: Glenn Edward Brandon Jr (CRD #1051682, Birmingham, Alabama) On October 15, 2021, an Acceptance, Waiver and Consent (AWC) was issued in which Glenn Edward Brandon Jr was barred from association with any FINRA member in all capacities. Without admitting or denying FINRA’s findings, Glenn Edward […]

January 4, 2022
EDGAR A KLEYDMAN Barred by FINRA

Soreide Law Group obtained the following from FINRA’s website under, “Disciplinary and Other FINRA Actions,” December 2021. EDGAR A KLEYDMAN (CRD #2727571, Staten Island, New York) On October 14, 2021, an Acceptance, Waiver and Consent (AWC) was issued in which EDGAR A KLEYDMAN was barred from association with any FINRA member in all capacities. Without […]

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