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June 13, 2023
DENNIS M HAYWOOD II, Land O' Lakes, FL

Soreide Law Group, based in Florida, is currently investigating claims made against the former CROWN CAPITAL SECURITIES, LP of Land o’ Lakes, Florida, broker, DENNIS MICHAEL HAYWOOD II (DENNIS M HAYWOOD II, DENNY HAYWOOD). According to FINRA’s BrokerCheck, available to the public on FINRA’s website, DENNIS M HAYWOOD II has been in the securities industry […]

June 12, 2023
Jason Walsh of PHX Financial

Soreide Law Group is currently investigating claims against broker, Jason Walsh, currently with PHX Financial, Inc. of Hauppauge, New York.  According to FINRA’s BrokerCheck there is a “Customer Dispute” alleging damages of $3,767,261.79. Walsh was previously listed with Network 1 Financial Securities also of Hauppauge, New York. Jason Walsh’s BrokerCheck CRD report lists 4 Disclosures. […]

June 9, 2023
Douglas McKelvey Pleads Guilty

DOUG MARSHALL MCKELVEY (CRD#: 4502849, DOUGLAS MCKELVEY), a former Morgan Stanley of Southlake, Texas, broker who was barred by FINRA in August, 2022, has pleaded guilty to misappropriating approximately $1.5 million from clients.  This was reported by the US Attorney’s Office for the Eastern District of Texas. According to the US Attorney’s Office, 58 year-old […]

June 8, 2023
DEMPSEY LORD SMITH & JOE PAT ROOP

Soreide Law Group has filed a FINRA arbitration on behalf of our client (Claimant) against: DEMPSEY LORD SMITH, LLC.(Respondent) The Claimant is a resident of North Carolina. The lawsuit states that the Claimant maintained an investment relationship with the Respondent and their former Financial Advisor, Joe Pat Roop. Joe Pat Roop is not named in […]

May 25, 2023
Mark Allen Brewer Fined and Suspended

MARK ALLEN BREWER, a broker/financial advisor from Wells Fargo Clearing Services, LLC of Riverside, California has been suspended by FINRA for 45 days for allegedly designating his friend as beneficiary of a client account. Brewer also was fined $5,000 by FINRA. Without admitting or denying FINRA’s findings, MARK ALLEN BREWER consented to the sanctions and […]

May 24, 2023
Christopher J Carpenter Barred by FINRA

The Financial Industry Regulatory Authority (FINRA) has barred Christopher J Carpenter, a former Major League Baseball pitcher who became a financial advisor, formerly with LPL Financial in Charlotte, North Carolina, from the industry for allegedly failing to provide information relating to an investigation of unauthorized real estate investments, according to a recent article in Barron’s. […]

May 22, 2023
FINRA Expels Carlos Leston

Soreide Law Group is investigating possible investor claims against securities broker Carlos Leston (also known as Jose Carlos Leston) (CRD: 3021614, Weehawken, New Jersey). Notably, FINRA sanctioned the securities broker, who worked for LPL Financial LLC. Allegedly, Leston failed to provide information and documents to FINRA when it investigated potential FINRA rule violations. Here is […]

May 19, 2023
Shahab TagnaviDinani Fined and Suspended

SHAHAB SEYEDSHAHAB TAGNAVIDINANI (SHAHAB TAGHAVIDINANI, SEAN TAG, SEAN TAGHAVI, SEAN S TAGNAVIDINANI) was fined $5,000 and suspended for 45 days by the Financial Industry Regulatory Authority (FINRA) for allegedly trading in a deceased client’s non-discretionary account. According to the FINRA report, Shahab TagnaviDinani, without admitting or denying FINRA’s findings,  consented to the sanctions and to […]

May 18, 2023
Tyler Rigsbee Sentenced to 2 Years

TYLER MICHAEL RIGSBEE (Tyler Rigsbee), a former Wells Fargo of Sacramento, California, financial advisor, was sentenced to two years in prison for misappropriating funds from elderly bank customers from approximately 2016 to 2021. According to the US Attorney’s Office for the Eastern District of California, Rigsbee, who is from Cameron Park, California, transferred $113,160 from […]

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