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October 9, 2023
Independent Financial Group Clients Dispute Robert Turley

Soreide Law Group is actively investigating potential claims on behalf of investors who sustained losses due to securities broker Robert Turley (CRD: 1519293, New Port Richey, Florida). Specifically, Turley started working for Independent Financial Group, LLC beginning in June 13, 2005. His BrokerCheck Report shows disclosures of unsuitable investment allegations from clients of this firm. […]

October 9, 2023
FINRA Issues Bar To Broker Robert Starnes

Soreide Law Group is actively investigating potential claims on behalf of investors who sustained financial losses associated with Robert Charles Starnes (CRD: 1429794, Wauwatosa, Wisconsin). Notably, he worked for SA Stone Wealth Management Inc. in Wauwatosa, Wisconsin, from December 6, 2019, to May 16, 2023, and Quest Capital Strategies, Inc. in Laguna Hills, California, from […]

October 8, 2023
FINRA Issues Sanctions To Philip Wright

Soreide Law Group is currently investigating potential claims on behalf of investors who sustained financial losses through Philip Paul Wright (CRD: 2453688, Eden Prairie, Minnesota). Wright worked for BrokerBank Securities, Inc. from May 20, 2004, to March 30, 2021. Specifically, FINRA expelled BrokerBank Securities on August 18, 2023. Notably, Wright has been subject to various […]

October 7, 2023
Investigation Into Potential Claims Against Peter Po

Soreide Law Group is actively investigating potential claims on behalf of investors who sustained losses with securities broker Peter Po (also known as Tinchu Peter Po) (CRD: 3106974, Cupertino, California). Specifically, he has been affiliated with NI Advisors since August 19, 2015. Additionally, Po has been associated with other firms, namely Voya Financial Advisors, Inc., […]

October 7, 2023
NSC, UBS Clients Complain About Michael Blueweiss

Soreide Law Group is presently investigating potential claims on behalf of investors who may have sustained losses due to the actions of Michael Roy Blueweiss (CRD: 728969, Melville, New York). Blueweiss is currently affiliated with Arete Wealth Management, LLC and Arete Wealth Advisors, LLC, where he has been registered since July 21, 2022, and July […]

October 6, 2023
Sanction, Investor Dispute Disclosures By Mark Bierdeman

Soreide Law Group is actively investigating potential claims on behalf of investors who may have sustained losses because of Mark Ryan Bierdeman (CRD#: 2809412, Fargo, North Dakota). Bierdeman has been affiliated with Ameriprise Financial Services, LLC in Fargo, North Dakota since January 1, 1997, as a securities broker and since April 12, 2000, as a […]

October 5, 2023
FINRA Takes Action Against Tradespot Broker Mark Beloyan

Soreide Law Group is investigating potential claims on behalf of investors who may have sustained financial losses due to the actions of Mark Bedros Beloyan (CRD: 1392748, Davie, Florida). Beloyan was notably affiliated with Tradespot Markets Inc. in Davie, FL, from March 10, 1992, to December 7, 2021. Evidently, various allegations about Beloyan have surfaced. […]

October 5, 2023
Aegis Investors Complain About Marinos Ballas

Soreide Law Group is actively investigating potential claims on behalf of investors who have suffered financial losses potentially tied to securities broker Marinos Ballas (CRD: 2843677, Melville, New York). Notably, Ballas works for Aegis Capital Corp as of February 19, 2010. Evidently, Aegis Capital Corp clients alleged breach of fiduciary duty and negligence in disputes […]

October 4, 2023
DAVID RICHARD GEAKE & AMERICAN TRUST Lawsuit

Soreide Law Group has filed a FINRA arbitration on behalf of their client (Claimant) against: AMERICAN TRUST INVESTMENT SERVICES, INC. (Respondent) The Claimant, a divorced mother of three in her 60s, is living in Illinois. On or about 2015, the Claimant attended a presentation of formerly registered representative, DAVID RICHARD GEAKE.  Geake transferred to AMERICAN […]

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