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November 12, 2014
Former Investment Advisor Defrauded Football Plalyers

There was a recent report in the Wall Street Journal that former Nebraska football players, Steve Octavien and Marlon Lucky, accepted gifts from financial advisor, MARY R. WONG (CRD# 1745747), while they were at Nebraska. This was in an article about financial advisors who take advantage of athletes. Steve Octavien and brothers Daniel and Josh […]

November 12, 2014
Former Stifel Nicolaus Broker Barred by FINRA

ROBERT J. HEAD (CRD# 240935) has been permanently barred by the Financial Industry Regulatory Authority (FINRA) from acting as a broker or otherwise associating with firms that sell securities to the public. FINRA reports that allegedly from August 2008 until October 2013, Head who was managing a Stifel Nicolaus trust account for a client, exercised […]

November 11, 2014
13 Firms Fined Over Puerto Rico "Junk Bonds"

On November 10th., 2014, the Securities and Exchange Commission (SEC) announced penalties against 13 brokerage firms for failing to protect their clients in the sales of high-risk government bonds issued by Puerto Rico. Puerto Rico currently has over $73 billion in public debt which has accumulated over several decades. Now in its eighth year of […]

November 11, 2014
Alabama Broker Barred by FINRA for Unauthorized Trading

Soreide Law Group, obtained the following summary of information from FINRA’s website under “Disciplinary and Other FINRA Actions, October, 2014.” Craig Shiver Smith (CRD #3103610, Birmingham, Alabama) was barred by FINRA for alleged unauthorized trades in a customer’s account, and exercised time and price discretion without written authority from the client. FINRA's findings stated that […]

November 5, 2014
Firms and Principal Barred by the National Futures Association (NFA)

Vision Financial Markets LLC, a futures commission merchant member, and Ace Investment Strategists LLC, a commodity trading advisor member were barred by the National Futures Association (NFA). Ace Investment's principal, Yu-Dee Chang, and Chesapeake Investment Services, Inc., an introducing broker of which Chang is a principal, were also barred from membership by the NFA. In […]

November 4, 2014
SEC Sanctions Firms for Improper Sales of Puerto Rico Bonds

On November 3, 2014, the Securities and Exchange Commission (SEC) sanctioned 13 firms. According to the SEC, these firms violated the rule that is primarily designed to protect retail investors in the municipal securities market. A "minimum denomination" sets the smallest amount of the bonds that a broker/dealer is permitted to sell to a retail […]

October 29, 2014
Palm Beach Gardens Broker Fined $110,000 and Barred by the OFR

Ralph Oelbermann (CRD# 1962900) an investment advisor and broker from Palm Beach Gardens, Florida, was fined $110,000 by state regulators and barred by the Florida Office of Financial Regulation (OFR) from working in Florida's financial industry. Oelbermann was previously registered at LPL Financial and J.W. Cole Financial, both of Palm Beach Gardens. It was reported […]

October 28, 2014
Attorney Lars Soreide Quoted in Article on UBS Puerto Rico Bond Cases

In an October 28th. 2014, InvestmentNews article by Mason Braswell, "UBS Facing Nearly $1 billion in Puerto Rico Claims," attorney Lars Soreide of Soreide Law Group is quoted by the author commenting on the cases he has filed in the alleged UBS Puerto Rico bond fraud. Soreide Law Group is still actively filing select UBS […]

October 28, 2014
Two Indiana Brokers Barred by FINRA

Blair Christopher Mielke(CRD #1878222, Evansville, Indiana) and Frederick William Shultz(CRD #5239977, Evansville, Indiana) were barred by FINRA for allegedly participating in undisclosed private securities transactions, engaging in undisclosed outside business activities, and failure to report their outside business activities to their firm. FINRA's sanctions also alleged that Shultz and Mielke failed to respond to FINRA’s […]

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