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September 2, 2025
Alex Blanco The Focus Of Hornor Townsend Investor Complaints About Real Estate Securities

Investors reportedly complained about securities broker Alejandro Alberto Blanco (also known as Alex Blanco) [CRD: 3146376, New York, New York], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Blanco worked for MML Investors Services LLC from November 22, 2017, to November 3, 2020. Keep reading to learn more about Blanco’s disclosures and […]

September 2, 2025
Jerome Messana (Aegis Capital Corp., Dawson James) In Client Disputes Over Excessive Trading

Investors potentially experienced sales practice violations due to securities broker Jerome Anthony Messana [CRD: 712315, Manasquan, New Jersey], according to publicly available information on FINRA BrokerCheck. Evidently, Messana joined Aegis Capital Corp. on September 21, 2021. He worked with Dawson James Securities Inc. from February 9, 2008, to October 12, 2021. Keep reading to learn […]

September 1, 2025
Andrew Galy Linked To Cambridge Investment Research Clients’ Suitability Arbitration Claims

Investors might have sustained losses through securities broker Andrew Jon Galy (also known as Andy Jon Galy) [CRD: 1915564, Metairie, Louisiana], based on public information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Galy worked for Cambridge Investment Research Inc. from February 25, 2014, to December 31, 2022. Keep reading to find out more […]

September 1, 2025
David Page (SW Financial) The Focus Of SEC Enforcement Action Alleging Unsuitable Trading

SEC filed a civil action against securities broker David Hilton Page [CRD: 2874899, New York, New York], according to public disclosures. Evidently, David Page worked for Spartan Capital Securities LLC from May 19, 2023, to July 31, 2023, and at SW Financial from August 6, 2018, to May 11, 2023. Keep reading to find out […]

September 1, 2025
Carl Gill At Center Of United Planners Investor Claims Alleging Breach Of Contract

One or more investors possibly experienced losses because of securities broker Carl Damien Gill [CRD: 1076361, Troy, Michigan], according to disclosures on FINRA BrokerCheck. Evidently, Gill worked for United Planners’ Financial Services of America from November 14, 2011, to December 4, 2015. Keep reading to learn more about Gill’s disclosures and the disputes that investors […]

September 1, 2025
Sanford Simmons Barred, Linked To Patrick Capital Markets Investor’s Unsuitable Advice Complaint

Investors reportedly complained about securities broker Sanford Graham Simmons Jr. (also known as Sandy Simmons) [CRD: 1018907, Castle Rock, Colorado], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Simmons worked for Saxony Securities Inc. from January 3, 2023, to October 2, 2024; Patrick Capital Markets LLC from March 22, 2021, to […]

September 1, 2025
Craig McIlroy The Focus Of LPL Financial Investors’ Unsuitable Oil And Gas Investment Claims

Investors potentially experienced sales practice violations due to securities broker J. Craig McIlroy (also known as Craig McIlroy) [CRD: 1422508, Highlands Ranch, Colorado], according to public information found on FINRA BrokerCheck. Evidently, McIlroy joined LPL Financial LLC on August 5, 2024. Previously, he was registered with Osaic FA Inc. in Denver, Colorado, as both a […]

August 31, 2025
Raymond Smith Suspended By FINRA And Maryland Regulator Over Unsuitable Advice

The State of Maryland and FINRA both sanctioned securities broker Raymond Hill Smith Jr. [CRD: 731506, Macon, Georgia], according to information reported on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Smith joined Smith Brown Groover Inc. on May 18, 1981, and SBG Wealth Management on February 19, 2003. Continue reading for details about the regulatory disclosures […]

August 31, 2025
James Sophia Linked To Morgan Stanley Clients’ Unsuitable Trading Arbitration Claims

Investors might have sustained losses through securities broker James Richard Sophia Jr. [CRD: 3222645, Shaker Heights, Ohio], based on disclosures on FINRA BrokerCheck. Evidently, Sophia worked for Vanderbilt Securities LLC from January 10, 2025, to March 19, 2025, and for Morgan Stanley from January 18, 2019, to January 28, 2025. Keep reading to find out […]

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