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February 12, 2019
INVESTOR ALERT: Claims Against Michael Fitzgerald For Unsuitable Equity Investments

INVESTOR ALERT: Claims Against Michael Fitzgerald For Unsuitable Equity Investments Michael Edward Fitzgerald (CRD#: 209062, San Francisco, California) is a prior Morgan Stanley registered representative who worked at the firm’s San Francisco offices from June 1, 2009 to June 1, 2018. Apparently, Fitzgerald has sold investors equities including LINN Energy, Inc. (OTC: LNGG) and Seadrill […]

February 11, 2019
BHENOY DEMBLA, Formerly With Merrill Lynch Chicago, Barred by FINRA

BHENOY DEMBLA (BEN DEMBLA, B DEMBLA) CRD#: 4357042 has been barred by FINRA from acting as a broker or otherwise associating with a broker-dealer firm on February 5, 2019. Dembla, formerly with Merrill Lynch of Chicago, without admitting or denying the findings, consented to the sanction and to the entry of findings that he allegedly […]

February 8, 2019
Were You a Client of Former NEWBRIDGE SECURITIES of BOCA RATON, Broker DENNIS ALLEN HAYES?

DENNIS ALLEN HAYES CRD#: 4403550, a broker formerly with Newbridge Securities of Boca Raton, Florida, had a complaint filed against him on January 11, 2019 by FINRA’s Department of Enforcement for alleged “selling away.” According to FINRA, between March 2010 and June 2016 while he was associated with Newbridge Securities Corporation in Boca Raton, FL, […]

February 8, 2019
CLIENT WARNING Cheryl Ann Stallings (Former LPL Financial Broker) Barred By FINRA

FINRA Barred Cheryl Ann Stallings FINRA Barred A FORMER LPL BROKER WHO WAS IN CHARGE OF MANAGING CUSTOMERS ACCOUNTS Cheryl Ann Stallings was barred for allegedly circumventing LPL's fiduciary capacities policy The Financial Industry Regulatory Authority Inc. barred a former LPL Financial broker Monday who controlled two customers' bank accounts, bypassed LPL's supervision by not […]

February 8, 2019
Warning! Misconduct Alleged By Principal Securities Brokers Rick Bower, Steven Bohn, Brian Menzel

Warning! Misconduct Alleged By Principal Securities Brokers Rick Bower, Steven Bohn, Brian Menzel Principal Securities, Inc. (CRD#: 1137, Des Moines, Iowa) is a Financial Industry Regulated Authority (“FINRA”) regulated brokerage firm. Additionally, the firm is as an investment adviser firm which the Securities and Exchange Commission (“SEC”) regulates. Apparently, since Principal Securities’ establishment, it made […]

February 8, 2019
Investor Alert: Customer Complaints About Ralph Quintana II, Centaurus Financial, Inc.

INVESTOR ALERT!Customer Complaints About Ralph Quintana II, Centaurus Financial, Inc. Ralph Quintana II (CRD#: 2284803, Upland, California) is currently a broker for Centaurus Financial, Inc. Apparently, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report for Quintana shows that at least five investors filed disputes about his conduct. Notably, Pruco Securities, LLC and Centaurus Financial, Inc. customers […]

February 8, 2019
Investor Alert! Complaints Against Joshua Johner, Stephen Hendy, Scott Nordblom

Investor Alert! Complaints Against Joshua Johner, Stephen Hendy, Scott Nordblom PFS Investments Inc. (CRD#: 10111, Duluth, Georgia) is both an investment adviser firm regulated by the Securities and Exchange Commission (“SEC”) and brokerage firm regulated by the Financial Industry Regulatory Authority (“FINRA”). Currently, on FINRA BrokerCheck, the firm discloses seventeen regulatory events and two arbitrations. […]

February 7, 2019
Customer Complaints Filed Involving NYLife Securities’ Jeffrey Sleeper

Title goes here NYLife Securities LLC (CRD#: 5167, New York, New York) is a brokerage firm which Financial Industry Regulatory Authority (“FINRA”) regulates. Notably, the firm reports on FINRA BrokerCheck that on ten occasions, FINRA or another regulator filed an action against the firm for misconduct. Apparently, those actions concern the firm’s failure to conform […]

February 7, 2019
INVESTOR ALERT! MML Investors Terminates Michael Vogt, Aaron Black, Thomas Ebel, William Pitre

INVESTOR ALERT! MML Investors Terminates Michael Vogt, Aaron Black, Thomas Ebel, William Pitre MML Investors Services, LLC (CRD#: 10409, Springfield, Massachusetts) is a brokerage firm regulated by Financial Industry Regulatory Authority (“FINRA”) and investment adviser firm regulated by Securities and Exchange Commission (“SEC”). Apparently, the company is also known as MassMutual Financial Group, In Good […]

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