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December 20, 2018
Vanguard Natural Resources (OTCMKTS: VNRR) Losses?

Vanguard Natural Resources (OTCMKTS: VNRR) Losses? Soreide Law Group is investigating claims on behalf of investors who were advised by their broker to purchase Vanguard Natural Resources Inc. (OTCMKTS: VNRR), a company headquartered in Houston, Texas concentrating on acquiring, producing and developing oil and natural gas properties. Vanguard Natural Resources Files For Chapter 11 Bankruptcy […]

December 18, 2018
Claims Filed Against UBS For Excessive Fees And Unsuitability

Claims Filed Against UBS For Excessive Fees And Unsuitability Soreide Law Group is investigating excessive trading, misrepresentation and suitability claims on behalf of customers who invested with UBS Financial Securities Inc. (CRD#: 8174, Weehawken, New Jersey) brokers and financial advisors including Susan Lyn Crown, Michael Patrick Gerard, Brandt Judah Cybul and Martin Patrick McLaughlin. The […]

December 18, 2018
Customers File Claims Against AXA Advisors For Misrepresentation

Customers File Claims Against AXA Advisors For Misrepresentation Soreide Law Group is investigating misrepresentation and suitability claims on behalf of customers who invested with AXA Advisors securities brokers and financial advisors including Celia Scott, Norris Rees Woody Jr., and Jerald Paul Reiner. AXA Advisors, LLC (CRD#: 6627, Minneapolis, Minnesota) is a brokerage firm regulated by […]

December 14, 2018
Customers Allege Merrill Lynch Sold Unsuitable Investments

Customers Allege Merrill Lynch Brokers Sold Unsuitable Investments Soreide Law Group is investigating excessive trading, misrepresentation and suitability claims on behalf of customers who invested with Merrill Lynch , Pierce, Fenner & Smith incorporated (CRD#: 7691, New York, New York) securities brokers and financial advisors including Matthew Martin Howley, Matthew Allen Ashley, Jon Monk and Robert […]

December 14, 2018
Soreide Law Investigating Ameriprise For Unsuitability And Misrepresentation

Soreide Law Investigating Ameriprise For Unsuitability And Misrepresentation Soreide Law Group is investigating claims of unsuitability and misrepresentation on behalf of customers who invested with Ameriprise Financial Services brokers and financial advisors including John Anthony Gruber, Johnny Gin Yang Ng and Douglas Dinzik. Ameriprise Financial Services, Inc. (CRD#: 6363, Minneapolis, Minnesota) is an investment adviser […]

December 8, 2018
Customer Disputes Sales Practices Of UBS’ John Seiberling Fulton

Customer Disputes Sales Practices Of UBS’ John Seiberling Fulton John Seiberling Fulton (CRD#: 2481439, West Palm Beach, Florida) is a UBS Financial Services Inc. financial advisor. He has been registered with the firm since July 10, 2002. Fulton reported on his Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Profile that a customer lodged a dispute about […]

December 5, 2018
Ohio National Ending Broker Contracts And Annuity Trails For Advisors

Ohio National Ending Broker Contracts And Annuity Trails For Advisors Soreide Law is investigating possible claims on behalf of advisors who have contracted to sell annuities through Ohio National Financial Services Inc. (Cincinnati, Ohio) – a company that markets financial and insurance products through the Unites States and abroad. The firm is considered a top […]

November 30, 2018
Soreide Law Group Investigating Payson Petroleum Fraud Allegations

Soreide Law Group Investigating Payson Petroleum Fraud Allegations Soreide Law Group is investigating claims on behalf of investors who have been sold investments in Payson Petroleum (Grayson County, Texas) – a company founded by Matthew Carl Griffin to pioneer oil investment opportunities for independent investors. Payson Petroleum investors are at risk of losing their investments […]

November 30, 2018
UBS’ David Howard Fagenson Allegedly Misrepresented Investments

UBS’ David Howard Fagenson Allegedly Misrepresented Investments David Howard Fagenson (CRD#: 1652012, Palm Beach, Florida) is a securities broker who previously worked for UBS Financial Services Inc. between September 3, 2010 and October 19, 2016. UBS Financial Services Inc. reported on Fagenson’s FINRA BrokerCheck Report that a customer of Fagenson’s had made false promises about […]

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