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August 31, 2020
Dean Nowak Supposedly Sold Unsuitable REITs

Broker Dean Nowak Under Fire For Bad Advice At Taylor Capital Management Investor Alert! Soreide Law Group provides this update in regard to a problem securities broker by the name of Dean R. Nowak (CRD#: 1091819, Winter Park, Florida). Notably, FINRA BrokerCheck shows that the securities broker, who worked for Taylor Capital Management and Newbridge […]

August 30, 2020
Michael Martino Gives Bad Advice, Clients Indicate

Four Points Broker Supposedly Gave Bad Advice Investor lawsuits continue to pile up for Michael C. Martino (CRD#: 2579146, New York, New York). Namely, FINRA BrokerCheck shows that six or more clients contested the sales practices of the securities broker, who joined Four Points Capital Partners in April 2011. Notably, these disputes suggest that Martino […]

August 29, 2020
Broker Lawrence Hagedorn Barred By SEC

SEC The Latest Regulator To Expel Hagedorn As Broker Evidently, the Securities and Exchange Commission (“SEC”) is the latest to sanction ON Equity Sales Company securities broker Lawrence E. Hagedorn (CRD#: 1794077, Andover, Kansas) for “theft by deception.” Namely, Hagedorn is considered a serious threat to investors according to SEC – so much of a […]

August 28, 2020
Bryon Martinsen Allegedly Misrepresents Investments

Centaurus Financial Broker Bryon Martinsen Allegedly Sells Unsuitable Alternative Investments The investment disputes continue to pile on for Centaurus Financial Inc. securities broker and financial advisor Bryon E. Martinsen (CRD#: 1621649, Kings Park, New York). It appears that a slew of investors complained and brought lawsuits in regard to Martinsen’s investment activities. Namely, these disputes […]

August 28, 2020
KIRK GILL’s Energy Sector Securities Trades Disputed

Morgan Stanley's Kirk Gill Subject Of Major Investor Disputes Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck profile for securities broker Kirk Gill (CRD#: 2291503, Tucson, Arizona) is problematic to say the least. Namely, a whopping 17 investors including clients of Morgan Stanley (Gill’s employer through 2016) took issue with his sales practices and […]

August 28, 2020
SCOTT ROSENBERG Possibly Sold Wrong Investments

Broker Scott Rosenberg Under Fire For Possible Bad Investment Sales Soreide Law Group is investigating whether to bring investor disputes involving Scott M. Rosenberg (CRD#: 2754292, New York, New York). Alarmingly, Financial Industry Regulatory Authority (“FINRA”) shows on BrokerCheck that between April 2018 and June 2020, more than 20 investors brought disputes about Rosenberg’s sales […]

August 28, 2020
SEAN DONALD PREMOCK 10 Years in Prison

SEAN DONALD PREMOCK (CRD#: 3175558), a former Fort Lauderdale, Florida, broker/investment advisor, was sentenced to 10 years in prison for defrauding investors out of more than $1 million. On August 25, 2020, a U.S. District Judge sentenced SEAN DONALD PREMOCK to 10 years in prison, three years of supervised release, and he is to forfeit approximately […]

August 27, 2020
CHARLES EVAN Possibly Misrepresented, Omitted Facts

Clients Indicate MML Broker Charles Evan Gave Bad Advice, Misrepresented Investments Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations of misconduct concerning Charles Jonathan Evan (CRD#: 836083, Wellesley, Massachusetts). Namely, the securities broker, who worked for securities firms including MSI Financial Services (2015 to 2017) and MML Investors Services (2017 to 2019), […]

August 27, 2020
Ezri Shechter Losses?

Spencer Winston Clients Indicate Ezri Shechter Made Unsuitable, Unauthorized Trades Soreide Law Group is investigating possible claims against Ezri Shechter (CRD#: 2772177, Jersey City, New Jersey). Namely, the securities broker, who worked for Spencer Winston from 2004 to 2020, reports investor disputes about his sales practices. Not only that, but Financial Industry Regulatory Authority (“FINRA”) […]

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