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July 8, 2020
Robert David Investment Disputes

Morgan Stanley Clients Indicate That Robert David Sold Unsuitable Bonds Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports that between 2019 and 2020, Morgan Stanley investors filed four disputes about securities broker Robert C. David Jr. (CRD#: 5211223, Farmington Hills, Michigan) suggesting that he sold unsuitable, unauthorized and misrepresented investments. Not only that, but […]

July 8, 2020
JASON WILK Allegedly Made Bad Stock Trades

Broker Jason Wilk Possibly Made Unsuitable Trades Financial Industry Regulatory Authority (“FINRA”) BrokerCheck reveals quite troubling information in regard to securities broker Jason Andrew Wilk (CRD#: 6072438, New York, New York). Evidently, FINRA suspended Wilk as a securities broker between 2019 and 2020 for non-compliance with a request for information. Not only that, but no […]

July 7, 2020
KEITH KELT Sell You Bad REITs?

Broker Keith Kelt Supposedly Sold Unsuitable REITs To TKG Financial, Kovack Investors FINRA BrokerCheck reports troubling allegations against securities broker Keith Landon Kelt (CRD#: 267357, Santa Barbara, California). Notably, three investors filed disputes about the broker, who worked for TKG Financial from 2005 to 2017 before joining Kovack Securities in 2017. These investor disputes seem […]

July 7, 2020
Wayne Miiller Private Placement Losses

Accelerated Capital Group's Wayne Miiller Supposedly Responsible For Bad Private Placement Offerings Investor Alert! Five clients of securities broker Wayne Ivan Miiller (CRD#: 4813645, Scottsdale, Arizona) filed disputes about his sales practices, according to Financial industry Regulatory Authority (“FINRA”) BrokerCheck Reports. Notably, these investors’ disputes suggest that Miiller was responsible for private placement offerings that […]

July 7, 2020
LPL Financial, Samuel Izaguirre

Soreide Law Group, based in South Florida, has filed a FINRA arbitration on behalf of their client (Claimant) against: LPL FINANCIAL LLC (Respondent) The Claimant maintained an investment relationship with LPL FINANCIAL and its Financial Advisor, Samuel Izaguirre of Miami Lakes, Florida. The Claimant was a retired school teacher in her 90s. She was a […]

July 6, 2020
CLAY ERICKSON Suspended By FINRA

HTK Broker Clay Erickson Suspended For Transferring Investor Funds Without Authorization The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report for broker Clay Erickson (CRD#: 1583644, Salt Lake City, Utah) is troubling. Evidently, six of Erickson’s clients brought disputes about his sales practices. Not only that, but FINRA suspended Erickson and issued him a fine for […]

July 6, 2020
Chris Fernan Allegedly Made Unsuitable Trades

Salomon Whitney Broker Chris Fernan Allegedly Breached Fiduciary Duty, Sold Unsuitable Investments Investor Alert! The Financial industry Regulatory Authority (“FINRA”) reports alarming information about securities broker Chris Anthony Fernan (CRD#: 5896584, Melville, New York). Apparently, a large number of clients filed disputes about the securities broker, who worked for Salomon Whitney Financial (“SW Financial”) from […]

July 6, 2020
RICKY ALAN MANTEI

RICKY ALAN MANTEI (RICKY ALAN MANTEL) CRD#: 1098981, according to FINRA’s BrokerCheck, has 10 “Pending” Customer Disputes filed against him in 2020, 17 Customer Disputes from 2019, with 16 “Pending” and one that “Settled.” In 2018, there were 3 Customer Disputes, 2 have “Settled” and one was “Closed-No Action.”  There 5 additional Customer Disputes from […]

July 5, 2020
Anthony Vultaggio Losses?

American Capital Partners Clients Indicate That Broker Anthony Vultaggio Sold Bad Private Placements Investor Alert! Soreide Law Group is investigating possible claims of sales practice violations against securities broker Anthony Vultaggio Jr. (CRD#: 5292477, East Meadow, New York). Notably, at least two investors disputed the actions of the securities broker, who worked for American Capital […]

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