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March 26, 2014
Former Miami Merrill Lynch Broker Barred by FINRA

The following information was obtained on FINRA's Website under “Disciplinary and Other FINRA Actions, March, 2014.” Andres Enrique Rojas (CRD #4799671, Registered Representative, Miami, Florida) has been barred by FINRA for allegedly participating in impersonating a customer and obtaining online access to the customer’s account. Andres Rojas also made a false statement to his firm […]

March 26, 2014
Two Registered Principal Brokers Fined and Barred by FINRA for Unfair Pricing and Excessive Markups

Fort Lauderdale-based Soreide Law Group, (888) 760-6552, obtained this summation of information from FINRA’s website listed under “Disciplinary and Other FINRA Actions, March, 2014.” Jeffrey Griffin Lane (CRD #1663977, Registered Principal, Darien, Connecticut) and Robert Marcus Lane Jr. (CRD #1411773, Registered Principal, North Palm Beach, Florida) FINRA has fined Jeffrey Lane $25,000, barred him from […]

March 25, 2014
Two Arrested in Insider Trading Scheme

A Morgan Stanley broker, Vladimir Eydelman, 42, and a law firm employee, Steven Metro, 40, managing clerk at Simpson Thacher & Bartlett LLP in New York, were charged with insider trading on March 19th. Steven Metro, was accused of stealing confidential data on 13 corporate transactions and telling a middleman who then passed it on […]

March 25, 2014
Florida Broker Barred by FINRA

The following summation of information is from FINRA's website under, "Disciplinary and Other Actions, March, 2014." Ariel Luis Hernandez (CRD #2684424, Registered Principal, Pembroke Pines, Florida) was barred by FINRA. Hernandez, according to FINRA's report, allegedly did not comply with requests for documents, information and testimony. FINRA began an investigation because of a Uniform Termination […]

March 25, 2014
Boca Raton Broker Fined and Suspended by FINRA for Unsuitable Recommendations

Soreide Law Group, (888) 760-6552, obtained this summation of information from FINRA’s website listed under “Disciplinary and Other FINRA Actions, March, 2014.” Peter Bruno (CRD #1180960, Registered Principal, Boca Raton, Florida) was fined $20,000 and suspended by FINRA for three months. FINRA's findings stated that Bruno marketed his investment services through various media, however it […]

March 24, 2014
Rhode Island Rep Sentenced to 21 Months in Prison for Fraud

Patrick J. Sullivan, a 44 year-old Cumberland, Rhode Island, financial advisor, was barred from the securities industry by the U.S. Securities and Exchange Commission (SEC), after pleading guilty to fraud charges. The SEC issued the order on March 21st, 2014. Patrick Sullivan was a member and also a co-founder of and insurance business, Winchester Financial […]

March 20, 2014
Did You Invest in 'Colony Investors VIII, LP?'

Colony Capital LLC, whose chairman and founder, 63-year-old billionaire,Thomas J. Barrack, Jr., began Colony Investors VIII, LP, in 2007, a $4 billion fund which lost over 60% in the first quarter. Barrack and other private-equity managers, spent over $1.6 trillion in buyouts between 2005 to 2007. Many believe this led to the worst financial crisis […]

March 20, 2014
Seattle Financial Advisor Sentenced to 16 Years in Prison for $46 Million Fraud

A Seattle investment advisor, Mark F. Spangler, 60, was sentenced March 13, 2014, to 16 years in prison on 32 counts of fraud and money laundering. Spangler, without his clients' knowledge, invested more than $46 million into two very risky startup companies which he also had ownership interest. Beginning in 1998, Spangler raised more than […]

March 19, 2014
Puerto Rican Bond Cases Flood FINRA

The struggling Puerto Rican municipal bond market is forcing the Financial Industry Regulatory Authority Inc. (FINRA) to hire more arbitrators in Puerto Rico, after they were swamped with over 200 investor lawsuits. After Detroit filed bankruptcy last summer, Puerto Rico's municipal bond market has been struggling. Investors are afraid of Puerto Rico's municipal debt of […]

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