Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
March 8, 2013
Wells Fargo Advisors Managing Director/Broker Sent to Prison for Fraud

A Wells Fargo Advisors investment adviser was sentenced to a two-year federal prison March 4th., 2013, for his role in an investment scheme in which he stole nearly $1 million in profits from trades executed on his clients' behalf. Philip D. Horn, 51, a former managing director at the Westwood Village branch office of Wells […]

March 8, 2013
Florida Broker, Jeffrey Rubin, Barred by FINRA for Securities Transactions Involving 31 NFL Players Losing $40 Million

On FINRA's website, the Financial Industry Regulatory Authority, announced that it has barred broker Jeffrey Rubin of Lighthouse Point, Florida, from the securities industry for making unsuitable recommendations to his customer, an NFL player, to invest in illiquid, high-risk securities issued in connection with a now-bankrupt casino in Alabama. As a result, the customer lost […]

March 6, 2013
Investigation of John Thomas Financial's Sale of America West Private Placements

Soreide Law Group is investigating potential claims against John Thomas Financial. John Thomas Financial raised approximately $5,000,000 as the lead underwriter for America West. Many investors have suffered complete losses in this investment. In October 2008, John Thomas Financial acquired 15,000,000 warrants, and 5,000,000 options on America West. John Thomas Financial, owned by Anastasios “Tommy” […]

March 6, 2013
Did You Invest with Jason T. Knapp of Dawson James Securities?

Soreide Law Group, PLLC, had begun an investigation on behalf of clients of Jason T. Knapp, formerly employed by Dawson James Securites. Knapp was charged with allegedly running a Ponzi scheme through SteepleChase Group. Knapp allegedly promised his clients, many from New York and Florida, unrealistic returns of 18 to 20 percent. Knapp was registered […]

March 4, 2013
FINRA Issues Alert on Bonds

Recently, FINRA, the Financial Industry Regulatory Authority Inc., issued an Alert telling investors that if interest rates rise, “outstanding bonds, particularly those with a low interest rate and high duration, may experience significant price drops.” Many big investors have already have warned that risk in the bond market is rising. However, last month's slight move […]

March 4, 2013
Equity-Indexed Annuities Can Be A Complex Investment

Recently, on the Financial Regulatory Industry Authority's (FINRA) website, they posted a very valuable article on equity-indexed annuities. The following information is from this article. "Sales of equity-indexed annuities (EIAs)—also known as "fixed-indexed insurance products" and "indexed annuities"—have grown considerably in recent years. Although one insurance company at one time included the word "simple" in […]

March 1, 2013
Risks Associated with the Investor Who Develops Alzheimer's Disease

For someone with Alzheimer's disease, one of the first skills to decline is the high-level function required to accomplish financial tasks such as paying bills, balancing a checkbook or reading a brokerage statement. Unfortunately, the number of Americans with Alzheimer's disease is expected to nearly triple by 2050. This epidemic will put even more pressure […]

March 1, 2013
FINRA Awards $800K+ in Premium-Financed Life Insurance

Myers v. Deutsche Bank, FINRA ID # 11-02623 (San Francisco, CA, 2/12/2013) - Customers who purchased premium-financed life insurance recover $834,193 in compensatory damages and $100,000 in attorney fees. What is premium-financed life insurance? For affluent people who don't want to liquidate other assets to pay for life insurance, borrowing funds from a third party […]

February 28, 2013
Did You Invest in 'CLSN' Through J. D. Nicholas and Associates?

Soreide Law Group has been contacted by several investors who purchased Celsion Corp., through the brokerage firm of J.D. Nicholas & Associates. Theses investors are considering pursuing individual claims against J.D. Nicholas for potential sales practice violations through FINRA, The Financial Industry Regulatory Authority. On January 30th, Celsion Corp., symbol “CLSN”, dropped from $7.78 per […]

Contact us Nationwide USA
2401 E. Atlantic Blvd., Suite 305, Pompano Beach, FL 33062
Helping clients recover money across the USA
search
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved