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November 26, 2023
Investigation Alert: Roderick Whited

Soreide Law Group is currently investigating potential claims on behalf of investors who have suffered losses due to the actions of securities broker Roderick Len Whited (also known as Rod Whited) [CRD: 2663822, Gainesville, Florida]. Whited, previously registered as both a broker and investment adviser. He was affiliated with Intercarolina Financial Services Inc. from October […]

November 24, 2023
Investors Filed Disputes About Peter Clarke

Soreide Law Group is currently conducting an investigation on behalf of investors who have sustained financial losses involving registered broker and financial advisor, Peter John Clarke [CRD#: 1400419, Palm Beach Gardens, Florida]. Clarke works for Rockefeller Financial LLC and Rockefeller Capital Management since November 12, 2021. His previous associations include Truist Advisory Services Inc., and […]

November 24, 2023
Ameriprise Clients Complain About Broker Peter Nett

Soreide Law Group is conducting an investigation into potential claims on behalf of investors who may have incurred losses due to the actions of securities broker and financial advisor, Peter Dieter Nett (also known as P.D. Nett) [CRD: 4506990, The Woodlands, Texas]. Evidently, he has worked with Hilltop Securities Inc. since September 23, 2022. He […]

November 23, 2023
SEC Brings Misappropriation Case Against Patrick Thayer

Soreide Law Group announces that it is currently investigating potential claims on behalf of investors who have suffered losses inflicted by securities broker Patrick Noel Thayer [CRD#: 5735955, Lebanon, Ohio]. Evidently, Thayer worked at LPL Financial LLC from September 2020 to October 2022 and Parkland Securities LLC from April 2014 to September 2020. Notably, FINRA […]

November 22, 2023
Investigation Alert: Nir Regev

Soreide Law Group is actively investigating claims on behalf of investors who may have incurred losses due to the actions of Nir Regev (also known as Nir Regev Kragens [CRD#: 1847410, Saint Louis, Missouri]. Evidently, Nir Regev joined for DFPG Investments LLC on April 26, 2016, and has been involved with the financial services industry […]

November 22, 2023
FINRA Punishes Broker Murat Kartal

Soreide Law Group can help individuals with financial losses because of Spartan Capital Securities LLC's Murat Kartal (also known as Marc Kartal) [CRD#: 6346419, New York, NY]. Murat Kartal received a FINRA suspension due to unsuitable and excessive trading in a client's account. FINRA Sanctioned Kartal For Unsuitable And Excessive Trading Evidently, on July 17, […]

November 22, 2023
UBS Investor Disputes Concern Michael Yochum

Soreide Law Group is conducting an investigation into potential claims on behalf of investors who may have suffered losses due to the actions of securities broker Michael Thomas Yochum (also known as Mike Yochum) [CRD#: 1126991, San Francisco, California]. Evidently, Michael Yochum is a registered broker and investment advisor with UBS Financial Services Inc., where […]

November 21, 2023
Oppenheimer Portfolio Enhancement Program (PEP) Investors Losses?

Soreide Law Group is investigating the Oppenheimer Portfolio Enhancement Program or “PEP”. OPPENHEIMER & CO allegedly offered its best clients an opportunity to generate an extra 5% on its portfolio by borrowing money on margin to participate in its proprietary PEP program. The minimum investment increment was $1.25 million. PEP was sold as a hedged […]

November 21, 2023
FINRA Issues Sanction To Michael May

Soreide Law Group is currently conducting an investigation on behalf of investors who have suffered losses investing with securities broker Michael James May [CRD#: 4712287, New York, NY]. Evidently, May joined VCS Venture Securities on October 4, 2021. He previously worked for Joseph Stone Capital LLC. May's practices have recently come under scrutiny by FINRA. […]

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