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October 13, 2021

Did your broker sell you JPMorgan Chase Linked Notes to XOP – Cusip 48132C4L4 JP Morgan offers structured investments and some investors may not fully appreciate their risks. Structured products can offer enhanced return but brokers often times downplay the risks when the underlying linked asset fails to perform. One product we are investigating is […]

October 12, 2021
Robert Mitchell Discharged By Morgan Stanley

Morgan Stanley Disaffiliates With Securities Broker Robert Mitchell Following Client Disputes Soreide Law Group has important information to share with you regarding securities broker Robert Lynn Mitchell (CRD#: 1523211, Frisco, Texas). Namely, Morgan Stanley, who employed Mitchell from June 2009 to February 2021, disaffiliated with him for alleged outside business activities. Not only that, but […]

October 11, 2021
Arieh Israel Sanctioned, Involved In Disputes

Securities Broker Arieh Israel Barred By FINRA, Facing NYLife Client Complaint Notably, FINRA barred securities broker Arieh Israel (CRD#: 6481347, New York, New York) as a securities broker to resolve allegations of misuse of investor funds. Not only that, but Israel, who worked for NYLife Securities from October 2016 to February 2020, is facing investor […]

October 11, 2021
Marcello Lattuca Involved In NBC Investor Disputes

NBC Clients Allege Misrepresentation, Unsuitable Trading In Disputes About Securities Broker Marcello Lattuca Soreide Law Group has news to share with you regarding the Financial Industry Regulatory Authority (FINRA) BrokerCheck disclosures of securities broker Marcello Lattuca (CRD#: 2149434, Massapequa, New York). Namely, four investors disputed Lattuca’s sales practices, and clients brought three disputes in 2020. […]

October 11, 2021
RAUL JORGE BENITEZ Wells Fargo Aventura FL

Soreide Law Group, based in South Florida, is currently investigating brokers/financial advisors who, through SunTrust (now Truist), sold Northstar Financial Services (Bermuda) Ltd. to their clients. Soreide Law Group has four lawsuits against SunTrust due to the of the sale of Northstar Financial Services (Bermuda) Ltd. One of the brokers we are investigating is: RAUL […]

October 11, 2021
Dan McPherson In Cetera Investor Complaints

Cetera Advisors Clients Take Issue With Securities Broker Dan McPherson's Sales Practices Important information is reported on Financial Industry Regulatory Authority (FINRA) as it relates to securities broker Daniel George McPherson ("Dan McPherson") (CRD#: 4964802, Idaho Falls, Idaho). Specifically, three investors filed disputes about the securities broker, who worked for Cetera Advisors LLC (2012 to […]

October 8, 2021
Robert Calamunci’s Client Alleges Unsuitability

Wynston Hill Investor Takes Issue With Robert Calamunci's Sales Practices Financial Industry Regulatory Authority (FINRA) BrokerCheck shows that a Wynston Hill Capital LLC client took aim at the sales practices of securities broker Robert Joseph Calamunci Sr. (CRD#: 1618899, Bronx, New York). In addition, FINRA and the National Association of Securities Dealers (NASD) both sanctioned […]

October 8, 2021
Daniel Lauletta (MSI, Ameriprise) Facing Investor Disputes

Securities Broker Daniel Lauletta Involved In Disputes Alleging Negligence, Misrepresentation Financial Industry Regulatory Authority (FINRA) BrokerCheck shows that five investors filed disputes concerning securities broker Daniel James Lauletta (CRD#: 2659123, Cleveland, Ohio). Evidently, Lauletta worked for Cetera Advisor Networks from 2013 to 2016. Also, he worked as a financial advisor and a securities broker for […]

October 8, 2021
Mark Pearcy Involved In MetLife Investor Disputes

Mark Pearcy (MetLife) Involved In Disputes About Variable Annuities, Insurance Soreide Law Group has new information to share with you regarding securities broker Mark William Pearcy (CRD#: 2978026, San Diego, California). Notably, the securities broker worked for MSI Financial Services (MetLife Securities) from 1997 to 2017 as both a securities broker and a financial advisor. […]

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