Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
February 7, 2022
CETERA ADVISORS, LLC, and Representative, JUSTIN DOLAN

Soreide Law Group, based in Florida, has filed a FINRA arbitration on behalf of our clients (Claimants) against: CETERA ADVISORS, LLC, and their registered representative, JUSTIN DOLAN (Respondents). The Claimants, who are retired and reside in Florida, bring this lawsuit to recover the losses they claim were due to the sale of unsuitable alternative investments […]

February 7, 2022
Daniel Della Rosa of Tampa, Florida

FINRA issued the following complaint in the January 2022 Disciplinary Report. Issuance of a disciplinary complaint represents FINRA’s initiation of a formal proceeding in which findings as to the allegations in the complaint have not been made, and does not represent a decision as to any of the allegations contained in the complaint. Because these […]

February 7, 2022
Pat Vitucci Involved In United Planners Investor Dispute

Client Of United Planners Financial Services Takes Issue With Broker Pat Vitucci's Variable Annuity Sales The Financial Industry Regulatory Authority (FINRA) contains new disclosures concerning securities broker Pasquale “Pat” Vitucci (CRD#: 2290163, Walnut Creek, California). It appears that 21 investors filed disputes alleging sales practice violations by the securities broker. FINRA BrokerCheck shows that Vitucci […]

February 6, 2022
Curt Giacobbe Facing MML Investor Dispute

Investor At MML Alleges Sales Practice Violation By Broker Curt Giacobbe Soreide Law Group provides you with new information concerning securities broker Curt Giacobbe (CRD#: 2682776, Melville, New York). Notably, Financial Industry Regulatory Authority BrokerCheck shows that investors filed disputes about the securities broker, who worked for securities firm MML Investors Services from 2012 to […]

February 5, 2022
Paul Antevy (FMSbonds) Entangled In Investor Disputes

Securities Broker Paul Antevy Involved In FMSbonds Client Disputes The Financial Industry Regulatory Authority (FINRA) contains new information concerning securities broker Paul Itzchak Antevy (CRD#: 2713105, North Miami Beach, Florida). It appears that Antevy joined FMSbonds Inc. in March 2003, and two clients of FMSbonds disputed Antevy’s sales practices. In addition, Antevy is involved in […]

February 4, 2022
Shirley Washam (Raymond James) Facing Client Dispute

Raymond James Clients, Morgan Keegan Clients File Investment Disputes About Securities Broker Shirley Washam Soreide Law Group has new information to share with you in regard to securities broker Shirley Ellen Washam (AKA Shirley Mazzanti and Shirley Davis) (CRD#: 2166419, Russellville, Arizona). Evidently, six investors complained about her sales practices, and one of those disputes […]

February 4, 2022
Jordan Samelson Encounters Wells Fargo Client Dispute

Wells Fargo Client Alleges That Broker Jordan Samelson Made Unauthorized Options Trades The Financial Industry Regulatory Authority (FINRA) shows that five or more investors filed disputes about securities broker Jordan David Samelson (CRD#: 2984356, Huntington, New York). Evidently, as of April 2016, Samelson works for securities firm Wells Fargo Clearing Services LLC in the capacity […]

February 3, 2022
PAUL RICHARD MCGONIGLE Indicted

According to a recent article in Financial Advisor IQ, PAUL RICHARD MCGONIGLE (Paul McGonigle), a broker formerly with SII INVESTMENTS INC and LPL Financial, both in New Bedford, Massachusetts, who was barred from the industry in 2020, could now be facing decades in prison over allegations that he swindled his elderly clients. On February 1, […]

February 3, 2022
Aubrey Morrow The Focus Of IFG Investor Disputes

Independent Financial Group Clients Allege Unsuitable Transactions, Breach Of Fiduciary Duty By Broker Aubrey Morrow Soreide Law Group is reviewing potential investor disputes regarding securities broker William Aubrey Morrow (CRD#: 836500, San Diego, California). According to FINRA BrokerCheck, Morrow worked as an Independent Financial Group securities broker from 2004 to 2018 and as an Independent […]

Contact us Nationwide USA
2401 E. Atlantic Blvd., Suite 305, Pompano Beach, FL 33062
Helping clients recover money across the USA
search
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved