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December 30, 2024
Joseph Storzinger Faces Negligence Allegations by IBN Client

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Joseph Edward Storzinger (also known as Joe Storzinger) [CRD: 2554671, Liverpool, New York]. Joseph Storzinger worked for American Portfolios Financial Services, Inc. in Massapequa, New York, from March 2017 to December 2018. He later joined Traderfield Securities Inc. in Massapequa, New York, from January […]

December 14, 2024
Deborah Stackpole Involved in Stonecrest Client Disputes

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows important investment-related disclosures about securities broker / financial advisor Deborah Stackpole (also known as Deborah Brown) [CRD: 4969850 Bayville, New Jersey]. Evidently, Stackpole has been employed by Stonecrest Capital Markets Inc. since September 6, 2016, and also works for Stonecrest Advisors Inc. since October 14, 2016. Below, you’ll […]

December 13, 2024
Patrick Dever Facing Stifel Nicolaus Client Complaint

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Patrick M. Dever [CRD: 2202204, West Chester, Pennsylvania]. Dever is currently registered with Stifel Nicolaus Company Incorporated, where he has worked since October 30, 2014, as a financial advisor and securities broker. Prior to this, Dever was employed by Morgan Stanley from 2009 to […]

November 26, 2024
Comprehensive Security Related Legal Services by Soreide Law Group

Navigating the complexities of business and securities law requires precision, expertise, and a forward-thinking approach. At Soreide Law Group, we specialize in providing tailored legal solutions for companies, investors, and entrepreneurs across a wide range of services. Whether you are preparing financial disclosures or structuring innovative funding mechanisms, our team ensures compliance, clarity, and efficiency. […]

November 26, 2024
JOHN F SCHLAGHECK

JOHN FRANCIS SCHLAGHECK (JOHN F SCHLAGHECK), according to FINRA’s BrokerCheck, available to the public on FINRA’s website, has been in the securities industry for 39 years and has been listed with 13 firms.  Schlagheck has 13 disclosures on his FINRA CRD report, with 10 of the disclosures “Customer Disputes.” The significance of JOHN F SCHLAGHECK’s […]

November 25, 2024
JAMES M ARMOUR of Ausdal Financial

Soreide Law Group has been contacted by investors who claimed they had experienced losses due to the alleged purchase of GPB Automotive stock through JAMES MICHAEL ARMOUR (JAMES M ARMOUR), currently listed with AUSDAL FINANCIAL PARTNERS, INC. of Wayzata, Minnesota since 2011. In February of 2021, GPB Automotive Portfolio, LP, was found to be a […]

November 22, 2024
JAMES JOHN RAIA of MOLONEY SECURITIES

JAMES JOHN RAIA (JIM RAIA), is currently a broker, registered with MOLONEY SECURITIES CO., INC. of Ridgewood, New York, since 2/1/2018. He was previously listed with SUMMIT BROKERAGE SERVICES, INC from 09/03/2015 - 02/09/2018 and JP TURNER & COMPANY, LLC, from 12/18/2009 - 09/29/2015 both of Ridgewood, New York. Soreide Law Group is investigating the […]

November 21, 2024
CYNTHIA ANN GIOVACCHINO

CYNTHIA ANN GIOVACCHINO, according to FINRA’s BrokerCheck, is currently listed as a broker and as an investment advisor with OSAIC INSTITUTIONS, INC. of Seymour, Connecticut, since December of 2023.  Giovacchino has been in the securities industry for 35 years and has been listed with 4 firms. According to BrokerCheck, available to the public on FINRA’s […]

November 20, 2024
TODD RAY ANDERSON Barred by FINRA

TODD RAY ANDERSON, according to FINRA’s BrokerCheck, was barred by FINRA from acting as a broker or otherwise associating with a broker/dealer firm with a start date of 12/20/2023. Anderson was previously registered both as a broker and as an investment advisor.  He was last listed with BENCHMARK INVESTMENTS, LLC of Tucson, Arizona, from 09/17/2019 […]

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