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January 4, 2022
Ricardo Turlan Sanctioned, Faces Investor Dispute

Broker Ricardo Turlan Suspended By FINRA For Alleged Unauthorized Trading Soreide Law Group has new information to share with you in regard to securities broker Ricardo Turlan (aka Ricardo Patricio Perez) (CRD#: 4431836, San Antonio, Texas). Financial Industry Regulatory Authority (“FINRA”) issued Turlan a suspension between June 7, 2021, and August 6, 2021, and fined […]

January 4, 2022
Mel Coffey Facing FINRA Investigation Over Trading

FINRA Investigates Securities Broker Mel Coffey's Trading For Suitability The Soreide Law Group has important information to share with you in regard to securities broker Arthur Mel Coffey (“Mel Coffey”) (CRD#: 2553466, Miller Place, New York). Specifically, Coffey, who worked for securities firms Legend Securities, First Standard Financial Company, and SW Financial, is under investigation […]

January 3, 2022
Lee Victor Nordstrom Barred by FINRA

Soreide Law Group obtained the following information on FINRA’s website, under “Disciplinary and Other FINRA Actions,” December, 2021. Lee Victor Nordstrom (CRD #2248261, Spokane, Washington) On October 1, 2021, an Acceptance, Waiver and Consent (AWC) was issued in which Lee Victor Nordstrom was barred from association with any FINRA member in all capacities. Without admitting […]

January 2, 2022
Vincent Virga Facing Madison Avenue Investor Dispute

Broker Vincent Virga Involved In Madison Avenue Securities Client Disputes About Alternative Investments The Financial Industry Regulatory Authority contains new information in regard to securities broker Vincent Anthony Virga (“Vincenzo Virga”) (CRD#: 5070668, Bayonne, New Jersey). Namely, it appears that two investors filed disputes alleging unsuitable recommendations by Virga when he worked for Madison Avenue […]

January 2, 2022
Bob Boyer Barred, Involved In MML Investor Disputes

Barred Broker Bob Boyer Involved In MML Investor Disputes The Financial Industry Regulatory Authority (FINRA) contains important disclosures in regard to securities broker Robert Joseph Boyer (“Bob Boyer”) (CRD#: 5787312, Wayne, Pennsylvania). Evidently, Boyer worked for securities firms MSI Financial Services Inc. (2012 to 2017), MML Investors Services LLC (2017 to 2020), and J. Alden […]

January 2, 2022
Joseph Lianzo Suspended, Faces Investor Disputes

Securities Broker Joseph Lianzo Faces FINRA Sanctions Over Alleged Unauthorized, Unsuitable Trading Soreide Law Group is reviewing potential investor claims relating to securities broker Joseph Augustien Lianzo (CRD#: 4516842, Melville, New York). Namely, Lianzo, who has worked for securities firm SW Financial since September 2017, agreed to an eight-month suspension as a securities broker to […]

December 29, 2021
Paul Vizanko Barred, Involved In Investor Dispute

Securities Broker Paul Vizanko Faces Investor Disputes Alleging Misuse Of Client Funds Soreide Law Group comes to you with new information regarding securities broker Paul Warren Vizanko (CRD#: 2572222, Duluth, Minnesota). Evidently, a client of Wells Fargo (Vizanko’s employer from September 2015 to February 2021) disputed Vizanko’s sales practices. Additionally, FINRA barred Vizanko as a […]

December 29, 2021
Stephen Ferencik Involved In ACG Investors’ Suitability Disputes

Securities Broker Stephen Ferencik Referenced In Unsuitable Alternative Investment Allegations By Arkadios Capital, ACG Wealth, And UBS Clients Soreide Law Group is reviewing potential investor claims relating to securities broker and financial advisor, Stephen John Ferencik (“Stephen John Ferencilz”) (CRD#: 3126037, Atlanta, Georgia). Evidently, Ferencik worked for firms including ACG Wealth Inc. (August 2010 to […]

December 27, 2021
Ronnie Metcalf In Voya Financial Investor Disputes

Voya Financial Advisors Clients Allege Failure To Supervise In Disputes About Securities Broker Ronnie Metcalf The Financial Industry Regulatory Authority (FINRA) reports important information relating to securities broker Ronald Franklin Metcalf Jr. (“Ronnie Metcalf”) (CRD#: 1280602, Greenville, South Carolina). Evidently, until June 2021, Metcalf worked for Voya Financial Advisors as a securities broker and financial […]

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