Latest Securities Lawyer News

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March 22, 2022
James Taylor Davis of Northwest Mutual Investment Services

Soreide Law Group is currently investigating claims involving James Taylor Davis, who is a registered representative of, Northwest Mutual Investment Services, LLC, of Lexington, Kentucky. James Taylor Davis is the subject of a settled case involving alleged misconduct relating to variable universal life insurance products. In the case, investors sought $25,000 in damages and were […]

March 20, 2022
Mark Huber Facing Accusations From Concorde Clients

Securities Broker Mark Huber Involved In Investor Disputes Involving Concorde Investment Services Clients It appears that securities broker Mark Huber (CRD#: 5976354, Racine, Wisconsin) is involved in disputes alleging sales practice violations. Evidently, Huber joined Concorde Investment Services as a securities broker in March 2012. He also became a financial advisor there in July of […]

March 20, 2022
Danny Young Facing Voya, ING Client Disputes

Broker Danny Young Involved In Investor Disputes Brought By Voya, ING Clients Soreide Law Group comes to you with new information in regard to securities broker Danny Young (CRD#: 4115155, Lake City, Florida). It seems that Young worked for securities firms Voya Financial Services Inc. as both a financial advisor and securities broker. He joined […]

March 20, 2022
Mark Wells Involved In Morgan Stanley Investor Disputes

Morgan Stanley Clients, Prime Capital Services Clients Allege Sales Practice Violations By Mark Wells The Financial Industry Regulatory Authority (FINRA) contains important information on Mark Walter Wells (CRD#: 3053517, Boca Raton, Florida). Namely, the securities broker, who worked for Morgan Stanley in Boca Raton, Florida, since 2014, is involved in an investor dispute regarding alleged […]

March 17, 2022
Craig Sutherland Facing Money Concepts Investor Disputes

Money Concepts Capital Corp Clients Allege Unsuitable Investments By Securities Broker Craig Sutherland Soreide Law Group is reviewing potential investor claims to be brought against securities broker Craig Alan Sutherland (CRD#: 2001873, Columbus, Ohio). Evidently, Sutherland worked for Money Concepts Capital Corp as a securities broker from May 1994 to May 2021. Notably, 10 investors […]

March 9, 2022
Luisa Gonzalez Involved In SunTrust Client Dispute

Broker Luisa Gonzalez Accused Of Sales Practice Violations According To SunTrust Investor's Dispute The Financial Industry Regulatory Authority (“FINRA”) contains new disclosures concerning securities broker Mercado “Luisa” Gonzalez (CRD#: 2765208, Kissimmee, Florida). Evidently, Gonzalez worked for securities firms Leaders Group Inc. (2020 – present), PNC Investments (2017 to 2019), SunTrust Investment Services (2012 to 2017), […]

March 9, 2022
Peter Schiff Facing Euro Pacific Client Dispute

Securities Broker Peter Schiff Involved In Euro Pacific Capital Investor Disputes New client disputes appear on FINRA BrokerCheck concerning securities broker Peter David Schiff (CRD#: 1759484, Newport Beach, California). Evidently, those disputes concern Schiff’s purported misrepresentations and unsuitable transactions at Euro Pacific Capital (now known as AGP Alliance Global Partners). Schiff became an Alliance Global […]

March 9, 2022
Herbie Greene In Client's Private Placement Dispute

Securities Broker Herbie Greene Involved In National Securities Corporation Investor's Suitability Dispute Soreide Law Group has news on securities broker James Lee Greene (“Herbie Greene”) (CRD#: 2974053, Boca Raton, Florida). Evidently, he worked for firms Ameriprise (1998 to 2006), First Command Financial Planning (2007 to 2018), National Securities Corporation (2018 to 2022), and B. Riley […]

March 8, 2022
Carter Mansbach In National Securities Corp Disputes

National Securities Corp Clients Allege Misrepresentation And Excessive Trading, According To Disputes About Carter Mansbach Financial Industry Regulatory Authority (“FINRA”) BrokerCheck contains new information regarding securities broker Carter David Mansbach (CRD#: 2275878, New York, New York). Notably, two investors filed disputes regarding the securities broker. Evidently, these disputes relate to Mansbach’s actions when employed by […]

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