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February 9, 2026
KESTRA INVESTMENT SERVICES & MARK D YADRON

Soreide Law Group has filed a FINRA arbitration on behalf of our client (Claimant) against: KESTRA INVESTMENT SERVICES LLC (Respondent). The lawsuit states that the Claimant and family have a long history of investing with the KESTRA INVESTMENT SERVICES Financial Advisor, MARK D YADRON, which dates back to his prior firm. The lawsuit alleges that […]

February 9, 2026
DST Losses? Financial Advisor Recommended a Delaware Statutory Trust (DST) and Now You’re Stuck?

Many investors were sold Delaware Statutory Trusts (DSTs) as “safe” passive real estate investments or as part of a 1031 exchange strategy. In reality, thousands of investors are now facing suspended distributions, collapsing property values, and complete illiquidity, leading to significant Delaware Statutory Trust losses for many. If your financial advisor recommended a DST that […]

February 8, 2026
Sergio Kindler Involved In Royal Alliance Associates Investor Dispute About Unsuitable Advice

Investors potentially incurred losses because of securities broker Sergio Kindler [CRD: 1690597, Jericho, New York], according to public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Sergio Kindler has been registered with Osaic Wealth Inc. since February 24, 2022, and previously worked for LPL Financial LLC from February 14, 2018, through March 23, 2022. […]

February 8, 2026
Scott Droskie Tied To Wells Fargo Investor Complaint About Unauthorized Transactions

Investors might have sustained losses due to securities broker Scott Francis Droskie [CRD: 2954696, St. Joseph, Michigan], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Scott Droskie worked for Wells Fargo Clearing Services LLC beginning on May 4, 2018, and Wells Fargo Advisors starting on May 8, 2018, both based in […]

February 8, 2026
Ronald Wingerter Faced Calton Associates Investor’s Breach Of Fiduciary Duty Complaint

Investors potentially experienced sales practice violations by securities broker Ronald Warren Wingerter [CRD: 4184143, Lady Lake, Florida], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Ronald Wingerter worked for Arkadios Capital from December 19, 2017, to July 29, 2022. Continue reading to learn more about the disclosures reported on his record. Calton Associates […]

February 8, 2026
Richard Carman Barred By FINRA, Linked To LPL Financial Investor’s Unsuitable Advice Complaint

Investors apparently complained about securities broker Richard Lloyd Carman [CRD: 2002971, Memphis, Tennessee], based on public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Carman worked for LPL Financial LLC from January 3, 2002, to August 4, 2021, and later for Ameriprise Financial Services LLC from July 23, 2021, to April 12, 2022. Investors […]

February 8, 2026
Lawsuit Filed against GREAT POINT CAPITAL & PETER CHERNIN

Soreide Law Group has filed a FINRA arbitration on behalf of our clients (Claimants) against:  GREAT POINT CAPITAL LLC, and their registered representative, PETER CHERNIN (Respondents). The Claimants reside in Florida and New York. Due to health and age-related issues, the Claimants wanted to invest $2.6 million they received from the sale of real estate […]

February 7, 2026
Richard DePalma Involved In Centaurus Financial Investor Dispute Regarding Unsuitable Advice

Investors have reportedly disputed the sales practices of securities broker Richard George Hubert DePalma [CRD: 4517536, Erie, Pennsylvania], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. DePalma has been registered with Centaurus Financial Inc. as a securities broker since October 31, 2007, and as a financial advisor since May 27, 2010. […]

February 7, 2026
Richard Ryall Faced Merrill Lynch Investor Complaint Alleging Unsuitable Recommendations

Investors potentially incurred losses because of securities broker Richard Edward Ryall [CRD: 408065, Springfield, Massachusetts], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Ryall has worked for Merrill Lynch since March 8, 2006, as a registered broker, and since September 22, 2006, as a financial advisor. Investors are encouraged to continue reviewing the […]

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