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January 22, 2019
Former NTB FINANCIAL CORPORATION Broker GEORGE MCCAFFREY Fined and Suspended by FINRA

GEORGE LOUIS MCCAFFREY III (GEORGE MCCAFFREY) CRD#: 847377, formerly with NTB FINANCIAL CORPORATION of Englewood, Colorado, was suspended and sanctioned by FINRA following allegations of participating in private securities transactions. On September 10, 2018, without admitting to or denying the findings, GEORGE MCCAFFREY consented to the sanctions and to the entry of findings that without […]

January 21, 2019
Former CETERA ADVISORS Broker, STEPHEN C. CARVER, Named in $3 Million Complaint

STEPHEN CORLEY CARVER (STEPHEN C. CARVER) CRD#: 2230161, a broker formerly with CETERA ADVISORS LLC of PEORIA, IL, had a complaint filed against him on October 10, 2018, alleging financial exploitation of the elderly, negligence, breach of fiduciary duty, unlawful conversion, breach of Illinois consumer fraud Act, fraud, negligent misrepresentation, breach of FINRA regulations, and […]

January 21, 2019
Customers File Disputes Involving UBS Financial Services’ Pedro Pons

Customers File Disputes Involving UBS Financial Services’ Pedro Pons Pedro J. Jose Pons (CRD#: 2495983, San Juan, Puerto Rico) is a prior general securities representative of UBS Financial Services Inc. Throughout Pedro Pons’s employment, he serviced the investment accounts of approximately 19 customers that complained about his activities. A brief summary of Pedro Pons pending […]

January 18, 2019
Customers Raise Unsuitability Allegations Against FMSBonds’ Zachary Evan Feinsilver

Customers Bring Unsuitability Allegations Against FMSBonds’ Zachary Evan Feinsilver Zachary Evan Feinsilver (CRD#: 5023830, North Miami Beach, Florida) is a general securities representative of FMSBonds, Inc. He joined the firm on December 9, 2005. Critically, the Financial Industry Regulatory Authority BrokerCheck Report for Zachary Feinsilver shows that at least four customers disputed his sales practices. […]

January 18, 2019
Stifel Fined Over Improper Arrangement With Francis Weller Jr.

STIFEL FINED $300K BY GALVIN WHILE INVESTMENT ADVISOR IS CHARGED OVER IMPROPER BUSINESS ARRANGEMENT According to a newspaper report known as ThinkAdvisor, a top Massachusetts’ police officer is currently investigating Stifel, and an investment advisor who had a deal with the company to manage all his clients’ trading. The publication cited a complaint filed by […]

January 18, 2019
Have You Experienced Losses with Boca Raton Shearson Broker, PHILIP JAY PATLIS?

According to FINRA’s BrokerCheck, in May of 2017 there were allegations brought against, PHILIP JAY PATLIS (CRD#: 1256755), a broker who is currently with SHEARSON FINANCIAL SERVICES, LLC, of Boca Raton, Florida. The Claimant alleged that his accounts were over-concentrated in collateralized mortgage obligations (CMOs) from September of 2015 through November of 2016. The Claimant […]

January 18, 2019
Next Financial Group’s Mark Lee Tevebaugh Allegedly Sold Bad Investments

Next Financial Group’s Mark Lee Tevebaugh Allegedly Sold Bad Investments Mark Lee Tevebaugh (CRD#: 1567001, Indian Harbour Beach, Florida) is a general securities representative for Next Financial Group, Inc. According to person’s Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report, four customers have alleged that he engaged in sales practice violations. Check out the following summary […]

January 15, 2019
Soreide Law Group Investigating Washington Prime Group (NYSE: WPG)

Title goes here Soreide Law Group is investigating possible claims on behalf of investors against brokers who sold them Washington Prime Group (NYSE: WPG). WPG, created in May 2014, describes itself as a retail real estate investment trust (REIT) and leader in owning, managing , acquiring and developing retail properties. Apparently, WPG couples an investment […]

January 15, 2019
Misconduct Allegations Against J.P. Morgan Broker Siu Chun

Misconduct Facing J.P. Morgan Brokers Siu Chun  Soreide Law Group is investigating claims on behalf of investors who purchased investments through J.P. Morgan broker Siu Chun. Here are Siu Lun E. Chun’s disclosures regarding their alleged misrepresentation of investments: January 2, 2018 Complaint Against Siu Chun Siu Lun E. Chun (CRD#: 5665707, Flushing, New York) […]

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