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November 26, 2018
Edward Jones Sued By Customers Alleging Suitability, Negligence

Edward Jones Sued By Customers Alleging Suitability, Negligence Soreide Law Group is investigating claims on behalf of those who invested with Edward Jones financial advisors including Joe Alan Green, Krystie Lynn Wear, Edward Hardy Dawkins, Kevin Scott Lake and Regina Sheila Gleghorn. Edward Jones (CRD#: 250, Saint Louis, Minnesota) is a Financial Industry Regulatory Authority […]

November 26, 2018
Cetera Settles Customers’ Claims of Unsuitability And Omissions

Cetera Settles Customers’ Claims of Unsuitability And Omissions Cetera Investment Services LLC (CRD#: 15340, Saint Cloud, Minnesota) is a brokerage firm regulated by Financial Industry Regulatory Authority (“FINRA”) who has reported, inter alia: eight regulatory events in regard to allegations of Cetera Investment Services’ violations of investment-related regulations or rules; and three FINRA arbitration awards […]

November 26, 2018
Customers Contend Jaime Michael Westenbarger Sold Unsuitable Products

Customers Contend Jaime Michael Westenbarger Sold Unsuitable Products Jaime Michael Westenbarger (CRD#: 4625703, Grand Rapids, Michigan) is a Securities America, Inc. registered representative who has disclosed on his Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report that customers have complained about his sales practices. The following customers have lodged customer-initiated investment-related disputes concerning, among other things, […]

November 26, 2018
Soreide Law Group Investigating IMS Securities For Unsuitability

Soreide Law Group Investigating IMS Securities For Unsuitability Soreide Law Group is investigating claims on behalf of investors who purchased investments from IMS Securities, Inc. (CRD#: 35567, Houston, Texas) – a brokerage firm that has been expelled by the Financial Industry Regulatory Authority (“FINRA”) for failing to pay a fine. FINRA fined the firm pursuant […]

November 26, 2018
Customers Of Morgan Stanley, Christopher James Butler Allegedly Sold Unsuitable Investments

Customers Of Morgan Stanley Allegedly Sold Unsuitable Investments Christopher James Butler (CRD #: 1894450, Woodland Hills, California) is presently a Morgan Stanley registered representative. According to Christopher James Butler’s Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report, his activities have caused customers of Morgan Stanley and Prudential Securities to lodge disputes with their respective firms referencing […]

November 26, 2018
UBS, UBS Sued For Alleged Misappropriation Of Customer Funds

UBS Sued For Alleged Misappropriation Of Customer Funds UBS registered representative Derek Michael Nierman (CRD#: 2302164, Scottsdale, Arizona) has indicated on his FINRA BrokerCheck Report that his activities have resulted in five customer-initiated investment-related disputes. Those disputes relate to Derek Michael Nierman’s conduct at Morgan Stanley Smith Barney, UBS Financial Services Inc. and Citigroup Global […]

November 26, 2018
RBC Capital Markets Facing Customer Claims Of Misrepresentation

RBC Capital Markets Facing Customer Claims Of Misrepresentation Terry Parker Rider (CRD#: 2724817, Houston, Texas), who worked for RBC Capital Markets, LLC, from July 13, 2005 to April 5, 2017, reported that customers have complained about his sales practices. According to Rider’s Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report, his sales practices have been called […]

November 26, 2018
Customers File Claims Against David Lerner Associates For Misrepresentation

Customers File Claims Against David Lerner Associates For Misrepresentation David Lerner Associates, Inc. (CRD#: 5397, Syosset, New York) is a brokerage firm regulated by Financial Industry Regulatory Authority (“FINRA”) who has reported 21 regulatory events and 17 arbitrations concerning allegations and findings of David Lerner Associates, Inc. violations of investment-related rules or regulations, customer harm, […]

November 26, 2018
Investment Disputes Against Ameriprise Alleging Unsuitability, Fraud

Investment Disputes Against Ameriprise Alleging Unsuitability, Fraud Ameriprise Financial Services Inc. (CRD#: 6363, Minneapolis, Minnesota) is a brokerage firm regulated by Financial Industry Regulatory Authority (“FINRA”). It has reported 78 regulatory events and 96 arbitrations concerning allegations of Ameriprise’s violations of investment-related rules or regulations. The firm has also reported instances in which customers were […]

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