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December 16, 2021
Nicholas F Taggart

Soreide Law Group has been contacted by former customers of the following broker/financial advisor regarding REIT losses: NICHOLAS FOULGER TAGGART (Nicholas F Taggart) CRD#: 4353676 At the time of the clients’ alleged losses, Nicholas F Taggart was registered both as an investment advisor and a broker with CETERA ADVISORS LLC of Portland, Oregon, from 02/28/2012 […]

December 15, 2021
Athanasios Tomaras Fined and Suspended by FINRA

The Florida-based Soreide Law Group obtained the following information from FINRA’s website on the following Florida broker/financial advisor under, “Disciplinary and Other FINRA Actions,” November, 2021: Athanasios Tomaras (CRD #2722538, Oldsmar, Florida) On September 7, 2021 an Acceptance, Waiver and Consent (AWC) was issued in which Athanasios Tomaras was fined $5,000 and suspended from association […]

December 15, 2021
Robert Henderson Jr of Miami Lakes, Florida

The Florida-based, Soreide Law Group, obtained the following information from FINRA’s Disciplinary Actions, November of 2021: The OHO issued the following decision, which has been appealed to or called for review by the NAC as of September 31, 2021. The NAC may increase, decrease, modify or reverse the findings and sanctions imposed in the decision. […]

December 14, 2021
NETWORK 1 FINANCIAL SECURITIES INC.

Soreide Law Group has filed a FINRA arbitration against:   NETWORK 1 FINANCIAL SECURITIES, INC (Respondent)   The Claimant (our client) resides in Pennsylvania. The lawsuit states that in 2019, the Claimant received a cold call from Charles Vincent Malico, who has been a registered representative of NETWORK 1 FINANCIAL SECURITIES since 2016.  Malico is […]

December 13, 2021
Marceliano Macias Fined and Suspended by FINRA

Soreide Law Group, based in South Florida, has obtained this information on the following Florida broker from FINRA’s website under “Disciplinary and Other FINRA Actions,” November 2021. On September 21, 2021, Marceliano Macias (CRD #6997916, Sunrise, Florida) was issued an Acceptance, Waiver and Consent (AWC) in which Macias was assessed a deferred fine of $7,500 […]

December 11, 2021
Mike Iannarino Barred, Involved In Client Disputes

FINRA Bars Securities Broker Mike Iannarino, And A Private Client Services Investor Files A Dispute About Him Soreide Law Group provides you with an update on the FINRA BrokerCheck disclosures connected to Michael Joseph Iannarino (“Mike Iannarino”) (CRD#: 1258453, Columbus, Ohio). First, FINRA barred Iannarino for allegedly refusing to provide information and documents when it […]

December 11, 2021
Dale Wright Facing Accusations Of Sales Practice Violations

Cambridge Investment Research Clients Allege Unsuitable Transactions By Securities Broker Dale Wright Soreide Law Group investigates whether to bring possible disputes on behalf of investors against securities broker Dale Edward Wright (CRD#: 1142615, Henrico, Virginia). Notably, ten investors made disputes involving Wright's sales practices. Not only that, but the Commonwealth of Virginia fined Wright $50,000 […]

December 11, 2021
Anthony Hall Gets Barred By FINRA

FINRA Bars Edward Jones Securities Broker Anthony Hall Because Of Alleged Investigation Misconduct Notably, the Financial Industry Regulatory Authority (FINRA) barred securities broker Anthony Glenn Hall (CRD#: 5546165, Dayton, Texas) for not cooperating with FINRA investigators. Not only that, but BrokerCheck shows that Edward Jones, who employed Hall from 2008 to 2019, disaffiliated with him […]

December 10, 2021
Steve Cummings Facing Berthel Fisher Client Disputes

Berthel Fisher Clients Allege Unsuitability, Misrepresentation By Securities Broker Steve Cummings Soreide Law Group is reviewing potential investor claims to bring against Berthel Fisher Company Financial Services and securities broker Steve Jeffrey Cummings (CRD#: 2274017, Fort Deposit, Alabama). Evidently, four clients filed disputes about Cummings alleging sales practice violations on alternative investments. Read on to […]

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