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March 29, 2022
Joseph Brian LaScala Jr Fined and Suspended by FINRA

Soreide Law Group obtained the following information from FINRA’s website under, “Disciplinary and Other FINRA Actions,” March, 2022 regarding broker/financial advisor: Joseph Brian LaScala Jr (Joe LaScala Jr, CRD #3070261, Merrick, New York), who is currently registered with Aegis Capital of Melville, New York. On January 24, 2022, an Acceptance, Waiver and Consent (AWC) was […]

March 28, 2022
Boris Mihailevsky In JP Morgan Client Disputes

Clients Of JP Morgan File Disputes About Boris Mihailevsky The Financial Industry Regulatory Authority (FINRA) is reporting new disclosures on the record of securities broker Boris Mihailevsky (CRD#: 5584758, New York, New York). The regulator shows that Mihailevsky worked for securities firms Chase Investment Services Corp (2010 to 2012) and JP Morgan Securities (2012 to […]

March 28, 2022
Josh Nicholas Barred by FINRA

The Florida-based Soreide Law Group has obtained the following information on FINRA’s website in the March 2022 Disciplinary report on the following Florida broker: JOSHUA DAVID NICHOLAS (Josh Nicholas CRD#: 6529944, Stuart, Florida), previously with Merrill Lynch, Pierce, Fenner & Smith Incorporated of Stuart, Florida, from 02/03/2020 - 07/31/2020. On January 24, 2022, an Acceptance, […]

March 26, 2022
Thomas Boley Hunt Facing Wells Fargo Investor Dispute

Securities Broker Thomas Hunt (Wells Fargo) Involved In Investor Dispute Alleging Sales Practice Violations Soreide Law Group comes to you with new information regarding securities broker Thomas Boley Hunt (CRD#: 1323743, Twin Falls, Idaho). Before joining LPL Financial LLC as a financial advisor and securities broker in August 2018, Hunt worked for securities firms Wells […]

March 26, 2022
Ivan Wenzel Involved In Allstate Investor Dispute

Allstate Securities Broker Ivan Wenzel Involved In Investor Dispute About Annuity The Financial Industry Regulatory Authority (FINRA) contains new information about securities broker Rodolf Ivan Wenzel (“Ivan Wenzel”) (CRD#: 1532033, Redlands, California). Evidently, Wenzel worked for firms Allstate Financial Services (1999 to 2018) and Voya Financial Advisors (2019 to 2020). Specifically, two Allstate investors filed […]

March 26, 2022
Robert Mark Star Involved In IBN Investor Disputes

Investor Disputes Center Around IBN Securities Broker Robert Star The Financial Industry Regulatory Authority (FINRA) contains important information regarding securities broker Robert Mark Star (CRD#: 3235830, Bluffton, South, Carolina). Evidently, Star worked for securities firms UBS PaineWebber, EDI Financial, Source Capital Group, Starvangrouw Financial, IBN Financial Services, and IBN Advisory Services. Star has been a […]

March 25, 2022
$2.66M Award to Clients of First Allied Securities Inc

In a recent article from InvestmentNews, it was reported that in a Financial Industry Regulatory Authority Inc. (FINRA) arbitration two claimants were awarded $2.66 million in damages due to losses from the sale of nontraded real estate investment trusts (REITs) and annuities. According to the FINRA award, the two claimants filed the FINRA claim against […]

March 24, 2022
SEC Complaint Filed Against MARIO E RIVERO

MARIO EVERILDO RIVERO (MARIO E RIVERO), formerly of  Wells Fargo of Elizabeth, New Jersey, and LPL Financial of Red Bank, New Jersey, is facing charges that he allegedly misappropriated his clients out of more than half a million dollars. On March 14, 2022, the Securities and Exchange Commission (SEC), filed a complaint civil complaint, which […]

March 23, 2022
Tarek Mohamed Barred by FINRA

The Florida-based Soreide Law Group obtained the following information on FINRA’s website under, “Disciplinary and Other FINRA Actions,” from March, 2022 on the following Florida broker: Tarek Mohsen Mohamed (Tarek Mohamed, CRD #6717691), New Port Richey, Florida) formerly with Bankers Life Securities of Clearwater, Florida. On January 27, 2022  an Order Accepting Offer of Settlement […]

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