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June 4, 2025
KATIE WEI Formerly of CETERA

KATIE WEI (LANTING WEI) has been registered as a broker and as an investment advisor with AMERIPRISE FINANCIAL SERVICES, LLC, REDWOOD CITY, CA since 2/26/2025.  Before Ameriprise, KATIE WEI was listed as a broker with CETERA INVESTMENT SERVICES LLC OF ARCADIA, CA from 06/05/2015 - 11/21/2024, and as an investment advisor with CETERA INVESTMENT ADVISERS LLC […]

June 3, 2025
Calton & Associates Fined $75K by FINRA

The Tampa, Florida-based Calton & Associates, Inc. has agreed to pay $37,500.00 to settle Financial Industry Regulatory Authority (FINRA) charges that it allegedly violated municipal securities rules, including allegedly failing to disclose required mark-up and mark-down information on hundreds of retail customer confirmations. According to an article from Fidelity.com, the $37,500.00 fine for violating Municipal […]

June 2, 2025
AAG Capital Fined $100K By FINRA

The Financial Industry Regulatory Authority (FINRA) has censured and fined AAG Capital, Inc., $100,000.00 and ordered them to pay $38,591.39 plus interest in restitution to customers. FINRA found that the firm’s practices surrounding registered index-linked annuities (RILAs) allegedly did not comply with Regulation Best Interest standards. The order was initiated May 20, 2025. According to a […]

June 2, 2025
MARTIN A BARTH Suspended by FINRA

MARTIN ALLAN BARTH (MARTIN A BARTH) has been suspended by FINRA for 16 months, with a start date of 4/21/2025 and an end date of 8/20/2026.  FINRA stated that in light of Barth's financial status, no monetary sanctions have been imposed. MARTIN A BARTH was most recently listed as a broker with NI ADVISORS of […]

May 28, 2025
GREGORY L WILSON of GL TRUST INC

GREGORY L WILSON (GREG WILSON) has been registered with GL TRUST, INC of Whittier, California, as an investment advisor since 1/29/2021.  GL TRUST was formerly known as ORTIZ WORLD WEALTH. According to the SEC's website, Greg Wilson was previously registered as an investment advisor with DAVID ORTIZ ADVISORS INC of Whittier, California from 01/15/2019 - […]

May 27, 2025
DAVID K GRIFFITH of LIFEMARK SECURITIES CORP

Soreide Law Group has been handling cases related to LIFEMARK SECURITIES CORP and awards in favor of the clients have been announced. Several investors have contacted us regarding the alleged sale of GWG L-bonds. Approximately $1.6 billion in GWG L bonds have been sold over the past ten years by over 40 broker/dealers. GWG Holdings, Inc. […]

May 24, 2025
Alexander Creede Tied To International Assets Advisory Client Suitability Dispute

Investors might have sustained losses due to securities broker Alexander Raymond Creede (also known as Alexander Creede) [CRD: 6392369, Houston, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Creede worked for Independent Financial Group LLC from March 31, 2022, to the present. Before that, he was employed by International Assets Investment […]

May 23, 2025
Jennifer Kim Focus Of Signature Estate Client Dispute About Structured Notes

Investors potentially experienced sales practice violations because of securities broker Jennifer Kim [CRD: 2322771, Los Angeles, California], based on disclosures through FINRA’s BrokerCheck. Evidently, Jennifer Kim worked for Signator Investors Inc. from March 4, 1993, to November 2, 2018; for Osaic Wealth Inc. from November 2, 2018, to August 24, 2023; and has been registered […]

May 23, 2025
Mark Reynolds Linked To Oppenheimer Client Disputes Over Misrepresentation

One or more investors apparently complained about securities broker Mark Raymond Reynolds [CRD: 1639111, Chicago, Illinois], according to disclosures through FINRA’s BrokerCheck. Evidently, Mark Reynolds has been registered with Oppenheimer Co. Inc. since August 31, 2005, working from its Chicago, Illinois, and Barrington, Illinois offices. Below, you can learn more about the disclosures involving Reynolds. […]

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