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June 24, 2019
Michael Dawson UBS Texas MLP losses?

MICHAEL DAWSON Misrepresent Your Investments? The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations against Deutsche Bank Securities broker Michael Dawson (CRD#: 62907, Houston, Texas). Notably, an investor filed a complaint involving the broker, who worked at Deutsche Bank from August 30, 2013 to December 22, 2015. Here’s more about the investor’s claim which suggests […]

June 24, 2019
TIMOTHY WRIGHT Losses?

Timothy Wright Losses? Soreide Law Group is reviewing whether investors suffered losses due to possible sales practice violations by Columbus Advisory Group, Ltd. broker Timothy Wright (CRD#: 4714431, Wilmington, NC). Namely, at least one client brought a dispute in regard to Wright’s conduct. Here’s more on the disciplinary action which alleges Wright's churning, excessive trading […]

June 24, 2019
Lawsuit Filed Against LPL FINANCIAL LLC

Soreide Law Group is investigating, and a recent FINRA arbitration has been filed on behalf of the clients (Claimants) against LPL FINANCIAL LLC (Respondents). The Claimants reside in Texas, and bring the lawsuit to recover the financial losses the suffered due to the alleged mishandling of the Claimants’ assets by failing to properly allocate and […]

June 22, 2019
JOHN MORABITO Give You Unsuitable Advice?

JOHN MORABITO Give You Unsuitable Advice? If you invested through Merrill Lynch securities broker John Morabito (CRD#: 4651112, Alpharetta, Georgia), he possibly gave you bad advice. Particularly, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that at least one client complained about his sales practices. Here’s more on the dispute concerning Morabito: Merrill Lynch Client Suggests […]

June 22, 2019
GREGORY WASHINGTON Churn Your Account?

GREGORY WASHINGTON Churn Your Account? Have you invested with Spartan Capital Securities LLC securities broker Gregory Washington (CRD#: 5420613, New York, New York)? Notably, the Financial Industry Regulatory Authority (“FINRA”) shows that an investor disputed Gregory Washington’s sales practices. Allegedly, person churned accounts, made unauthorized and unsuitable trades, and misrepresented investments. Here is more about […]

June 21, 2019
CHAMP WARREN Give You Bad Investment Advice?

CHAMP WARREN Give You Bad Investment Advice? Soreide Law Group is evaluating possible investor claims of suitability against Champ Warren (CRD#: 2401114, Houston, Texas). Warren is a securities representative who joined Merrill Lynch on November 30, 1993. Namely, the Financial Industry Regulatory Authority (“FINRA”) shows on Warren’s BrokerCheck Report that a client complained about his […]

June 21, 2019
TODD LAMBERTY Losses?

TODD LAMBERTY Losses? Todd Lamberty (CRD#: 4155573, Sioux Falls, South Dakota) is a securities representative who most recently was registered through Questar Capital Corporation. According to the Financial Industry Regulatory Authority (“FINRA”), an investor allegedly incurred losses from Lamberty’s sales practice violations. Here’s more on the allegations against Lamberty: Client of Woodbury Financial Services & […]

June 20, 2019
CENTER STREET SECURITIES, INC. Stock Broker List

Center Street Securities MAIN ADDRESS 2 INTERNATIONAL PLAZA SUITE 301 NASHVILLE, TN 37217 UNITED STATES Broker List Active As of 10/5/2020 Center Street Securities, Inc., is a member of FINRA and SIPC and is an Independent Securities Broker/ Dealer with branch offices throughout the United States. Center Street’s main office is located at 2 International […]

June 18, 2019
CHARLES DORAINE Allegedly Sold Unsuitable Investments

CHARLES DORAINE Allegedly Sold Unsuitable Investments Have you suffered losses by investing with Next Financial Group Inc. securities broker Charles Doraine (CRD#: 70411, Corpus Christi, Texas)? Notably, the Financial Industry Regulatory Authority (“FINRA”) shows on BrokerCheck that at least six clients contested Doraine’s sales practices. Here is a summary of some recent disputes which concern […]

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