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October 12, 2022
David Feigeles (Oppenheimer) Facing Investor Disputes

Investors have come forward with complaints about securities broker David Jonathon Feigeles [CRD#: 1530561, Melville, NY]. Feigeles worked for Oppenheimer & Co. Inc. from 2003-Present and CIBC World Markets Corp from 2000-2003. Evidently, the securities broker discloses Oppenheimer investor disputes on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Specifically, one or more Oppenheimer clients allege that […]

October 11, 2022
Investors File Disputes About Yin Zhong

Soreide Law Group is investigating possible investor claims against securities broker Yin Yvonne Zhong AKA Yvonne Zhong [CRD#: 3203120, Los Gatos, CA]. Zhong worked for (1) NI Advisors from 2018-Present; (2) Cetera Investment Services from 2017-2018; and (3) LPL Financial LLC from 2017-2017. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that one or more […]

October 11, 2022
Investors File Disputes About Alexander Hackley

Soreide Law Group is investigating possible investor claims against securities broker Alexander Strachan Hackley Jr. AKA Lex Hackley [CRD #: 4899317, Centennial, CO]. Hackley worked for (1) Lifemark Securities Corp from 2017-present; (2) Blue Duck Wealth Management from 2017-2018; and (3) Verus Capital Partners LLC from 2015-2017; and (4) Woodbury Financial Services from 2005 to […]

October 10, 2022
Lifemark Investors File Disputes About Patrick Durst

Soreide Law Group is investigating possible investor claims against securities broker Patrick Christopher Durst [CRD #: 6328382, Centennial, CO]. Durst worked for (1) Lifemark Securities Corp from 2018-present and (2) Jackson National Life Distributers from 2014-2018. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses Lifemark investors disputed the sales practices of the securities broker. Evidently, […]

October 10, 2022
Clark Owen Involved In Investor Dispute

Soreide Law Group is investigating possible investor claims against securities broker Clark Owen [CRD #: 6096730, Cupertino, CA]. Owen worked for (1) Cetera Investment Advisors and Cetera Investment Services from 2018-Present; (2) NI Advisors from 2016-2018; and (3) Voya Financial Advisors from 2014-2015. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that a NI Advisors […]

October 10, 2022
Investors File Disputes About Seth Stewart

Soreide Law Group is investigating possible investor claims against securities broker Seth Barnes Stewart [CRD #: 5467292, Jeffersonville, IN]. Stewart worked for (1) Center Street Securities Inc. from 2012-2020; (2) American Equity Investment Corp from 2009 to 2012; and (3) Center Street Securities Inc. from 2009-2009. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that […]

October 9, 2022
William Huthnance In UBS Client Suitability Dispute

UBS Financial Services Investors have come forward with complaints about securities broker William Word Huthnance [CRD #: 4326519, Houston, Texas]. Huthnance has been employed by UBS Financial Services since 2015. Specifically, UBS Financial Services clients allege that Huthnance made unsuitable recommendations and misrepresentations. For more on these disclosures about Huthnance, see below. William Huthnance Allegedly […]

October 9, 2022
FINRA Sanctions Patrick English

The Financial Industry Regulatory Authority (FINRA) reports allegations of sales practice violations by securities broker Patrick Allen English [CRD #: 5189025, Phoenix, AZ]. English worked for (1) Comerica Securities from 2016-2021; (2) Fidelity Brokerage Services from 2015-2016; and (3) Comerica Securities from 2011-2015. Not only has Financial Industry Regulatory Authority (FINRA) barred the securities broker […]

October 9, 2022
Investors File Disputes About Lon Faccini

Soreide Law Group is investigating possible investor claims against securities broker Lon Charles Faccini [CRD #: 2736849, Staten Island, NY]. Faccini worked for (1) Arive Capital Markets from 2016-Present; (2) Cape Securities Inc. from 2010-2016; and (3) Liberty Partners Financial Services from 2006-2010. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that Arive Capital Markets […]

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