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May 20, 2022
John Quinn Suspended As Securities Broker

FINRA Suspends, Fines Securities Broker John Quinn Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker John Daniel Quinn (CRD#: 2576416, Beverly Hills, California), who discloses information about a client dispute and regulatory enforcement action on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Quinn was a securities broker […]

May 19, 2022
Roger A Graham Formerly of Wells Fargo

In a recent AdvisorHub article, it was reported that Wells Fargo Advisors terminated one of its San Antonio, Texas brokers, Roger A Graham, earlier this year.  Wells Fargo Advisors gave the justification that could be a warning to other brokers for excessive trading in their own accounts. Wells Fargo said it had terminated Roger A Graham, […]

May 19, 2022
Jimmy Nunez Suspended, Involved In Allstate Investor Dispute

Allstate Broker Jimmy Nunez Suspended By FINRA And Involved In Investor Dispute Soreide Law Group discusses disclosures on Jimmy William Nunez (CRD#: 6432136, Edgewater, New Jersey). Evidently, Nunez worked as a securities broker for Allstate Financial Services from 2015 to 2020. Let’s take a closer look at the allegations of unauthorized transactions as reported on […]

May 18, 2022
NIKOLAY ZOTENKO Previously with Morgan Stanley

According to FINRA, NIKOLAY ZOTENKO consented to a one-year suspension and to pay a $10,000 fine without admitting or denying FINRA’s findings. Zotenko was previously registered both as a broker and as an investment advisor. Zotenko was previously listed with Morgan Stanley of Beverly Hills, California. On May 13, 2022, without admitting or denying FINRA's […]

May 18, 2022
Jesus Rodriguez Involved In Morgan Stanley Investor Dispute

Morgan Stanley Clients Allege Damages In Disputes About Broker Jesus Rodriguez The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Jesus Rodriguez “Jesus Rodriquez” (CRD#: 4888685, El Paso, Texas). Evidently, Rodriguez worked for securities firm Morgan Stanley from 2009 to 2021. Notably, he faces allegations of unsuitable and unauthorized trading […]

May 17, 2022
MARK GERARD SONNTAG of NSC

The Florida-based Soreide Law Group has filed a FINRA arbitration on behalf of our client (Claimant) against: NATIONAL SECURITIES CORPORATION (NCS), and their registered representative, MARK GERARD SONNTAG (Respondents). The Claimant is a retiree living in Florida.  The lawsuit alleges that the Respondents knew he was living on a fixed income, and looking to supplement […]

May 17, 2022
Richard Rappaport Suspended, Involved In Westpark Investor Dispute

FINRA Issues Suspension To Westpark's Richard Rappaport FINRA BrokerCheck indicates that investors alleged sales practice violations involving securities broker Richard Alyn Rappaport “Rick Rappaport” (CRD#: 1885122, Los Angeles, California) and that those violations resulted in damages. Evidently, Rappaport has worked as a Westpark Capital securities broker since 2004, most recently as CEO. Take a look […]

May 16, 2022
ROBERT EARL TURNER Formerly of UBS

According to a recent AdvisorHub article, UBS Wealth Management USA alleges that one of its former brokers in Waco, Texas, ROBERT EARL TURNER (ROBERT E TURNER, CRD#: 2113736) stole more than $17 million from clients as part of a scam that ran nearly 25 years.  There was a lawsuit filed in a Texas state court […]

May 16, 2022
William Johnson Involved In Voya Investor Dispute

Voya Client Alleges Misrepresentation By Securities Broker William Johnson Soreide Law Group is reviewing investor disputes concerning securities broker William Colie Johnson (CRD#: 3174473, Greenville, South Carolina), as disclosed on FINRA BrokerCheck. Evidently, Johnson was a securities broker at Voya Financial Advisors from 1999 to 2019. Let’s take a closer look at the allegations of […]

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