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July 26, 2022
Jeffrey Eglow Facing Newbridge Investor Disputes

The Financial Industry Regulatory Authority (FINRA) contains important investment information concerning securities broker Jeffrey Lewis Eglow (CRD#: 1299960, Boca Raton, Florida). It appears that Eglow worked for securities firms Wells Fargo Advisors (2012 to 2015 as a broker and financial advisor), SunTrust Investment Services (2015 to 2017 as a broker and financial advisor), Newbridge Securities […]

July 25, 2022
ATTENTION Bank of Hawaii Investment Customers Who Were Sold Northstar Financial Services (Bermuda) Ltd.

The FINRA arbitration, filed by Soreide Law Group in July of 2022, alleges that Bankoh Investment Services broker Wanistha Bahar offered assurances that Northstar Financial Services (Bermuda) investments was safe, secure and they would be able to get their money out at anytime. Attorney, Lars Soreide, who is representing the Claimant believes that Northstar Global […]

July 21, 2022
Sean Zhang Barred, Involved In Cetera Investor Disputes

Soreide Law Group shares important information below concerning securities broker Xiangyu Yu Zhang, who is also known as Sean Zhang (CRD#: 5050282, Alhambra, California). Namely, Financial Industry Regulatory Authority (FINRA) BrokerCheck shows that Zhang has 14 disclosures, and 10 of them concern investment disputes relating to suitability. In addition, FINRA sanctioned Zhang twice, including barring […]

July 7, 2022
Barry Garapedian Facing Morgan Stanley Investor Disputes

Broker Barry Garapedian (Morgan Stanley) Faces Investor Disputes The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Barry Lee Garapedian (CRD#: 1039257, Westlake Village, California). It appears that the disclosures involving Garapedian mainly concern his employment at Morgan Stanley. He worked at the firm’s CA offices from 2009 to 2021. […]

July 7, 2022
Debra Bourne In First Standard, NSC Investor Disputes

Investors File Disputes Concerning Securities Broker Debra Bourne (First Standard Financial, National Securities Corp) Soreide Law Group comes to you with an update concerning securities broker Debra Collura Bourne aka Debra Ann Bourne (CRD#: 1352344, Red Bank, New Jersey). Evidently, Bourne worked for Oppenheimer Co. Inc. (2008 to 2014), National Securities Corporation (2014 to 2016), […]

July 7, 2022
Cataldo Panici Discloses Wintrust Investor Dispute

Wintrust Client Brings Investment Dispute About Broker Cataldo Panici Soreide Law Group discusses the FINRA BrokerCheck disclosures on securities broker Cataldo Panici “Carlo Panici” (CRD#: 2112617, Frankfort, Illinois). Evidently, Panici worked as a securities broker or financial advisor for Banc of America Investment Services. He then joined Wintrust Investments in 2009. For more information on […]

July 7, 2022
Michael Valdini In Worden Capital Investor Disputes

Investor Disputes Reported On BrokerCheck Record Of Michael Valdini (Worden Capital, J.D. Nicholas) Investment loss recovery counsel at Soreide Law Group provide you with new information on securities broker Michael Anthony Valdini (CRD#: 5599281, Mineola, New York), who discloses information about investor complaints on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Valdini worked […]

July 7, 2022
Allyson Jo Trantum In JW Cole Client Dispute

Securities Broker Allyson Jo Trantum Discloses Investor Dispute And Employment Termination Soreide Law Group is examining an investor dispute concerning securities broker Allyson William Trantum aka Allyson Jo Wilson (CRD#: 2896970, Temecula, California), as disclosed on FINRA BrokerCheck. Particularly, Trantum, who works for securities firm JW Cole Financial Inc. and investment advisory JW Cole Advisors […]

July 7, 2022
Izzy Shefer In Morgan Stanley, APW Client Disputes

Broker Izzy Shefer (APW, Morgan Stanley) Involved In Investor Disputes FINRA BrokerCheck indicates that investors alleged sales practice violations involving securities broker Izhar Shefer “Izzy Shefer” (CRD#: 1759498, Aventura, Florida) and that those violations resulted in damages. Particularly, Shefer, who worked for securities firms Morgan Stanley (his employer from February 2011 to March 2017) and […]

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