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June 19, 2020
Dee Dee Brooks Barred

DEE DEE BROOKS (also known as: DEEDEE BROOKS, DORIS DEE DEE BROOKS, DORIS TAKOOSHIAN) CRD#: 2559233 was barred by the Financial Industry Regulatory Authority, Inc. (FINRA) from acting as a broker or otherwise associating with a broker-dealer firm. Brooks, according to FINRA, formerly with Signator Investors, Inc. of Huntington Beach, California, allegedly engaged in undisclosed […]

June 18, 2020
Cabot Oil & Gas Corporation (NYSE: COG) Losses?

Soreide Law Group has been contacted by investors who have suffered losses due to the recommendation of their broker/dealers in Cabot Oil & Gas Corporation (NYSE: COG). Cabot Oil & Gas 52 week range:  13.06 - 24.44 According to Yahoo Finance, Cabot Oil & Gas Corporation, is an independent oil and gas company, explores for, […]

June 16, 2020
FREDERICK M STOW SEC Complaint

FREDERICK MARKLEY STOW (FREDERICK M STOW) CRD#: 864436, a former Raymond James of Franklin, Tennessee, broker, has had charges filed against him by the Federal Prosecutor in Tennessee for allegedly stealing nearly $1 million from elderly clients.  The case against Stow was filed on June 11, 2020, in Nashville federal court by the U.S. Attorney […]

June 16, 2020
David H Austin Barred by FINRA

David H Austin (Also known as: David Harry Nelson Austin, David Austin, David Harry-Nelson Austin) CRD#: 6702519, a former broker from JPMorgan of Grand Rapids, Michigan, was barred by the Financial Industry Regulatory Authority, Inc. (FINRA), on June 11, 2020, from acting as a broker or otherwise associating with a broker/dealer firm. Without admitting or […]

June 15, 2020
SagePoint Financial Fined Over $1 Million

SagePoint Financial has been ordered by the Financial Industry Regulatory Authority (FINRA) to pay over $1,000,000 in restitution to their clients involved in early rollovers of unit investment trusts (UITs). A unit investment trust (UIT) is an investment that offers a fixed portfolio, generally of stocks and bonds, as redeemable units to investors for a […]

June 13, 2020
Thomas OBrien Cause Your Losses?

Raymond James' Thomas OBrien Involved In Investor Disputes Investors are coming forward with disputes concerning Thomas OBrien [CRD#: 2282208, Shreveport, Louisiana]. Notably, the securities broker, who has worked for Raymond James Associates since 2013, discloses three investor disputes on Financial Industry Regulatory Authority (“FINRA”) BrokerCheck. Notably, Raymond James Associates clients indicated that OBrien, among other […]

June 13, 2020
Robert Stefanelli Allegedly Churned Accounts

Alexander Capital Investors Indicate Broker Robert Stefanelli Excessively Traded, Churned Accounts Soreide Law Group is investigating potential investor claims of sales practice violations by securities broker Robert Stefanelli [CRD#: 2566917, New York, New York]. Notably, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that four investors took aim at the securities broker, who associated with Alexander […]

June 11, 2020
Sierra Income Corporation Distributions Suspended

The board of another non-traded business development company (BDC), Sierra Income Corporation, has suspended monthly distributions to their shareholders.  The company claimed that the suspension is temporary and would enhance their financial flexibility. This included both cash distributions and distribution reinvestment plans. According to Sierra Income Corporation, “The company believes that it is in the […]

June 11, 2020
NexPoint Capital Inc Suspends Distributions

The board of NexPoint Capital Inc., a publicly registered non-traded business development company (BDC) focusing on healthcare, approved the suspension of the company’s monthly distribution.  The suspension is for both cash distributions and those offered through NexPoint’s distribution reinvestment plan. According to news reports, NexPoint Capital said the decision was made “to provide additional financial […]

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