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April 26, 2026
Paul Witthauer The Focus Of G. A. Repple Company Investor Complaint About GWG L-Bonds

Investors potentially incurred losses because of securities broker Paul Wesley Witthauer [CRD: 1672263, Jamestown, North Dakota], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Witthauer worked for G. A. Repple Company beginning December 1, 2017, and later became registered as a financial advisor with the same firm on October 28, 2019. Read on […]

April 26, 2026
Joseph Ward Connected To UBS Financial Investor Dispute About Failure To Follow Instructions

Investors apparently complained about securities broker Joseph Ward (also known as Joe Ward) [CRD: 7384642, West Hartford, Connecticut], according to public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Ward worked for UBS Financial Services Inc. from May 5, 2023, to January 25, 2024, and later joined Northwestern Mutual Investment Services LLC on June […]

April 25, 2026
John Darmanian Tied To Western International Securities Inc. Investor’s Failure To Supervise Claim

Investors have reportedly disputed the sales practices of securities broker John B. Darmanian [CRD: 2899924, Montrose, California], given the publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Darmanian worked for Western International Securities Inc. from September 11, 2009, to June 5, 2025, before joining LPL Financial LLC on June 5, 2025. Investors […]

April 25, 2026
James Jenkins Linked To Crown Capital Securities Investor Arbitration Claim About Misrepresentation

Investors potentially experienced sales practice violations by securities broker James Patrick Jenkins [CRD: 5261717, Logan, Utah], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Jenkins worked for Wealth Enhancement Brokerage Services LLC and Wealth Enhancement Advisory Services LLC since January 2, 2026, and previously worked for firms including Strategic Advocates LLC from September […]

April 25, 2026
Maria Valido Involved In Infinex Investments Inc. Investor Arbitration Claim About Unsuitable Advice

Investors might have sustained losses due to securities broker Maria Karina Valido (also known as Maria Karina Payret) [CRD: 6324596, Miami, Florida], based on public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Valido worked for Infinex Investments Inc. from February 17, 2015, to April 22, 2022. Keep reading to find out more about […]

April 24, 2026
Rainer Hohlbein Tied To LPL Financial LLC Investor’s Unsuitable Advice Arbitration Claim

Investors apparently complained about securities broker Rainer Rudi Hohlbein (also known as Rainer Rudi Hohlbeim) [CRD: 1282146, Verona, Wisconsin], given the disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Hohlbein worked for LPL Financial LLC from October 11, 2011, to October 13, 2021. See the following information to find out more about the disclosures involving […]

April 24, 2026
Timothy Farris The Focus Of Sigma Financial Corporation Investor’s Excessive Trading Claim

Investors potentially incurred losses because of securities broker Timothy Richard Farris [CRD: 2178521, West Bloomfield, Michigan], according to publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Farris worked for Sigma Financial Corporation from May 15, 2015, to December 17, 2021, SPC from November 15, 2021, to December 17, 2021, and Cetera Advisors […]

April 24, 2026
Christopher Tully Linked To Oppenheimer Investor Arbitration Claim About Breach Of Fiduciary Duty

Investors potentially experienced sales practice violations by securities broker Christopher Daniel Tully [CRD: 870889, New Rochelle, New York], based on public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Christopher Tully worked for Oppenheimer Co. Inc. from February 17, 2009, and has remained registered with the firm since November 18, 2011. Read on for […]

April 23, 2026
Christiana Webb Of Morgan Stanley Terminated For Unauthorized Investor Communications

Investors have reportedly disputed the sales practices of securities broker Christiana O. Webb (also known as Christina Webb) [CRD: 5116707, Atlanta, Georgia], given the disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Webb worked for Morgan Stanley from June 1, 2009, to September 10, 2024, before registering with Truist Investment Services Inc. on November 14, […]

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