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March 8, 2022
John Roberts Out As Benchmark Securities Broker

Benchmark Investments Parts Ways With Broker John Roberts Over Misconduct Allegations The Financial Industry Regulatory Authority (FINRA) reports that Benchmark Investments terminated its arrangement with Roberts (CRD#: 1226665, Stockbridge, Georgia) as a securities broker amid misconduct allegations. It appears that two other firms also parted ways with Roberts, and a client lodged a dispute about […]

March 7, 2022
Jim Driggers Involved In Morgan Stanley Client Dispute

Morgan Stanley Clients Voice Complaints Regarding Jim Drigger's Investment Recommendations Investors appear to have filed disputes involving securities broker James Yang Driggers (“Jim Driggers”) (CRD#: 1359593, Sarasota, Florida). Specifically, Driggers, who worked for Morgan Stanley from 2008 to 2021, is involved in disputes where clients allege sales practice violations. Let’s take a closer look at […]

March 7, 2022
Bill Conn Facing Raymond James Investor Dispute

Raymond James Client's Suitability Dispute Reportedly Involves Broker Bill Conn Financial Industry Regulatory Authority (FINRA) provides new information in regard to securities broker William Joseph Conn (“Bill Conn”) (CRD#: 1477107, San Francisco, California). Specifically, three investors filed disputes about the securities broker, who worked for Salomon Smith Barney and Raymond James. Here’s more on the […]

March 7, 2022
Andrew Greer In GF Investment Services Investor Disputes

Clients Of GF Investment Services Bring Suitability Disputes About Andrew Greer Soreide Law Group comes to you with new information in regard to securities broker Steven Andrew Greer (CRD#: 5976309, Charlotte, North Carolina). Namely, two investors filed disputes about the securities broker. Allegations include unsuitable investment transactions by Greer at GF Investment Services LLC, a […]

February 28, 2022
Robert Fross Involved In SII Investor Disputes

SII Investments Clients Allege Unsuitable Transactions By Financial Advisor Robert Fross Soreide Law Group comes to you with important information concerning securities broker Robert C. Fross (CRD#: 4509851, The Villages, Florida). Namely, the securities broker and financial advisor, who worked for SII Investments Inc. (2007 to 2018) and LPL Financial (2018 to present), is involved […]

February 24, 2022
Peter David In Woodbury Investors’ Suitability Disputes

Woodbury Financial Clients Allege Sales Practice Violations By Broker Peter David The Financial Industry Regulatory Authority (FINRA) BrokerCheck contains important information regarding securities broker Peter Werner David (CRD#: 1133608, Waukesha, Wisconsin). Namely, David, who worked for Woodbury Financial Services from February 2009 to July 2018, is involved in two client disputes. Notably, investors allege sales […]

February 23, 2022
PETER N GIRGIS of SW Financial

According to FINRA’s BrokerCheck, PETER N GIRGIS (CRD#: 4520444) was fined $7,500.00, suspended  in all capacities for 9 months (1/3/2022 - 10/2/2022), and ordered to pay $169,677.00 in restitution by FINRA. Girgis is currently registered with SW Financial, New York, NY, since 12/10/2019. Without admitting or denying FINRA’s findings, PETER N GIRGIS consented to the […]

February 21, 2022
Robo-Adviser Wahed Invest LLC

Attention clients of Wahed Invest LLC who may have lost money through the robo-advisory program. In a recent press release, the Securities and Exchange Commission (SEC) charged New York-based robo-adviser Wahed Invest LLC (Also know as Wahed, Wahed Invest Inc., Wahed Invest)  with making misleading statements and breaching its fiduciary duty.  The SEC also charged […]

February 19, 2022
Dennis Ayre (Oppenheimer) Barred By FINRA

Oppenheimer Securities Broker Dennis Ayre Barred By FINRA And Involved In Investor Disputes About Foresight Energy LP Stock Transactions Soreide Law Group is reviewing potential investor lawsuits against securities broker Dennis Phillip Ayre (CRD#: 5365176, Beverly Hills, California). Evidently, Ayre, who worked for broker-dealers including Hilltop Securities (2019 to 2020), Oppenheimer Co. Inc. (2014 to […]

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