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September 27, 2020
Eric Roark’s Actions Disputed By Clients

Broker Eric Roark Supposedly Fails To Follow Instructions The Financial Industry Regulatory Authority (“FINRA”) reports alarming allegations with respect to Eric Travis Roark (CRD#: 4177967, New York, New York). Not only has Ameriprise Financial Services disaffiliated with the securities broker, but two of Roark’s clients also complained about him. These disputes raise questions as to […]

September 27, 2020
Bobby Kolev Possibly Traded Without Authorization

Morgan Stanley Broker Bobby Kolev Makes Unauthorized Trade, Client Indicates Soreide Law Group provides you this investor alert update in regard to securities broker Borislav Valentinov Kolev otherwise known as Bobby Kolev (CRD#: 3024003, Aventura, Florida). Financial Industry Regulatory Authority (“FINRA”) confirms that investors filed disputes about the securities broker. These disputes indicate that Kolev […]

September 27, 2020
Kevin Fretz’s Investment Recommendations Disputed

Broker Kevin Fretz Supposedly Sold LPL Clients Bad Investments The Financial Industry Regulatory Authority (“FINRA”) reports alarming details in regard to financial advisor Kevin Charles Fretz (CRD#: 4128808, South Windsor, Connecticut). Notably, there are six investors who have brought complaints or lawsuits which suggest that Fretz caused their losses. Supposedly, Fretz sold unsuitable and misrepresented […]

September 26, 2020
Peter Janssen Sell You Mega Blockchain?

Katalyst Broker Peter Janssen Seemingly Sells Bad Mega Blockchain Investments A couple investors appear to be sounding the alarm in regard to securities broker Peter Kyle Janssen (CRD#: 5691028, Fairfield, IA). Namely, the Financial Industry Regulatory Authority (“FINRA”) reports through BrokerCheck that investors’ disputes suggest sales practice violations by the securities broker, who worked for […]

September 26, 2020
Thomas Kieffer Apparently Made Unsuitable Trades

St. Louis Financial Planner's Thomas Kieffer Supposedly Breached Fiduciary Duty Soreide Law Group is reviewing information from investors who have experienced losses because of Thomas Anthony Kieffer (CRD#: 269086, Chesterfield, Missouri). Namely, the securities broker joined Ceros Financial Services as a securities broker in January 2010. Also, he joined St. Louis Financial Planners Inc. in […]

September 26, 2020
Invested In Vida Longevity Fund?

Financial Advisors Might Have Sold Misrepresented, Unsuitable Investments In Vida Longevity Fund, LP The investment loss lawyers at Soreide Law Group are reviewing possible investor claims against financial advisors who potentially recommended unsuitable or misrepresented investments in Vida Longevity Fund LP which has allegedly declined in value. Namely, this investment has experienced quite a bit […]

September 25, 2020
Shelley Eddy Unsuitable Trading Losses?

PeachCap's Shelley Eddy Supposedly Sold Clients Unsuitable Investments Investor Alert! Investors are bringing lawsuits or complaints about Shelley L. Eddy (CRD#: 4862159, Atlanta, Georgia). In fact, just in 2020 alone, seven investors complained about Eddy’s sales practices suggesting that Eddy caused their losses. Nearly all disputes pertain to Eddy’s actions at PeachCap Securities and PeachCap […]

September 25, 2020
Gary Pevey Sells Bad Woodbridge Notes

Mutual Securities Broker Gary Pevey Supposedly Breached His Fiduciary Duty To Investors Soreide Law Group provides this investor alert in regard to Mutual Securities financial advisor or securities broker Gary Pevey (CRD#: 2129469, Sacramento, California). Notably, FINRA BrokerCheck shows that three investors complained about Pevey. These investors suggest that Pevey, who worked for Mutual Securities […]

September 24, 2020
Joe Kelly Allegedly Gave Bad Advice

Spartan Capital Broker Joe Kelly Purportedly Sells Bad Private Placements Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports troubling information with regard to Spartan Capital Securities broker Joseph “Joe” Kelly (CRD#: 4560737, New York, New York). Notably, there are four investment disputes which have surfaced on Kelly’s record from 2016 to 2020. Supposedly, Kelly […]

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