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May 9, 2022
Mark Potocsny Involved In Morgan Stanley Investor Dispute

Morgan Stanley Clients, AG Edwards Clients Bring Investment Disputes Concerning Mark Potocsny Investment loss recovery counsel at Soreide Law Group provides this update on securities broker Mark Julius Potocsny (CRD#: 2417184, Cheshire, Connecticut), who discloses information about investor disputes on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Particularly, Potocsny, who worked for securities firms Morgan Stanley […]

May 8, 2022
Sean McElduff In Hennion Walsh Client Dispute

Broker Sean McElduff Faces Investor Disputes From Hennion Walsh Clients Soreide Law Group comes to you with new information relating to the FINRA BrokerCheck disclosures on securities broker Sean J. McElduff (CRD#: 5565355, Parsippany, New Jersey). It appears that the disclosures involving McElduff concern his employment at Hennion Walsh (2008 - present). McElduff also works […]

May 8, 2022
Shane Falcon Involved In NSC Investor Dispute

Broker Shane Falcon (National Securities Corp) Faces Investor Disputes Involving Private Placements, Equities The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Shane Rene Falcon (CRD#: 5626256, Miami, Florida). Evidently, Falcon worked at GunnAllen Financial and CBG Financial Group before joining National Securities Corporation. Evidently, he worked at National Securities […]

May 7, 2022
Bryan Bordelon Involved In Raymond James Investor Dispute

Broker Bryan Bordelon (Raymond James, Morgan Keegan) Facing Investor Disputes FINRA BrokerCheck indicates that investors alleged inappropriate sales practices involving securities broker Bryan Kirk Bordelon (CRD#: 3175386, New Orleans, Louisiana). It appears that the disclosures involving Bordelon concern his employment at Raymond James Associates Inc. (he has been a securities broker and financial advisor since […]

May 7, 2022
Charla Kabana Discloses Client Dispute, FINRA Bar

Securities Broker Charla Kabana Is Barred By FINRA And Involved In Sagepoint Financial Client's Dispute About Suitability Soreide Law Group is reviewing investor complaints concerning securities broker Charla Cynthia Kabana (CRD#: 1453982, Huntington Beach, California), as disclosed on FINRA BrokerCheck. Particularly, Kabana, who worked for securities firms Sagepoint Financial (her employer from 2016 to 2018) […]

May 6, 2022
Debbie Herrmann Barred, Involved In Farmers Investor Dispute

Transamerica And Farmers Clients File Disputes Alleging Damages Caused By Broker Debbie Herrmann Investment loss recovery counsel at Soreide Law Group provides this update on securities broker Deborah Lynn Herrmann (AKA Debbie Herrmann and Debbie Gniech) (CRD#: 5204514, Wheaton, Illinois), who discloses information about a regulatory action and investor dispute on Financial Industry Regulatory Authority […]

May 6, 2022
Charles Bloom Barred, Involved In IAA Investor Dispute

IAA, Chelsea Clients File Suitability Disputes Involving Broker Charles Bloom Soreide Law Group comes to you with new information relating to securities broker Charles Lewis Bloom (CRD#: 4144108, Royal Palm Beach, Florida). It appears that the disclosures involving Bloom concern his employment at securities firms IAA Financial LLC (his employer from 2014 to 2015), International […]

May 5, 2022
KYLE GEORGE CORGAN of Newbridge Securities

Soreide Law Group has been contacted by customers of broker/investment advisor, KYLE GEORGE CORGAN (CRD#: 4417800) due to his alleged recommendations of GWG L Bonds. Corgan is currently registered with Newbridge Securities in Syosset, New York.  Soreide Law Group has several cases involving various broker/dealers in GWG L Bond losses. GWG Holdings (GWGH), is a […]

May 5, 2022
Charles Bonilla Discloses David Lerner Investor Dispute

Securities Broker Charles Bonilla Allegedly Makes Unsuitable Recommendations To David Lerner Client FINRA provides important information on securities broker Charles Abad Santos Bonilla (CRD#: 2572107, Boca Raton, Florida). Evidently, Bonilla worked as a securities broker or financial advisor for Pruco Securities from May 2018 to February 2019. Also, he worked for David Lerner Associates Inc. […]

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