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April 8, 2022
JAMES EARL WILLIAMS of Newbridge Securities

Soreide Law Group is currently investigating claims that investors have made against brokers/financial advisors who may have made recommendations to purchase GWG L Bonds. JAMES EARL WILLIAMS of NEWBRIDGE SECURITIES CORPORATION in Boca Raton, Florida, allegedly may have recommended to certain clients the purchase of GWG L Bonds. GWG Holdings is the issuer of the […]

April 8, 2022
Douglas Ellman In Shearson Client Trading Disputes

Shearson Financial Clients Voice Concerns About Broker Douglas Ellman's Trading Practices The Financial Industry Regulatory Authority (FINRA) provides new information regarding securities broker Douglas Keith Ellman (CRD#: 1673088, Boca Raton, Florida). Namely, the securities broker, who worked for Shearson Financial Services beginning in June 2003, is involved in three investor disputes where investors allege sales […]

April 7, 2022
Michael Ralby In Morgan Stanley Client Disputes

Morgan Stanley Clients Voice Problems With Suitability Of Securities Broker Michael Ralby's Transactions The investment loss recovery team at Soreide Law Group provides updates from time to time on securities brokers who are involved in investor disputes. The firm comes to you with a new update regarding securities broker Michael Bruce Ralby (CRD#: 1301072, Boca […]

April 7, 2022
Marianne O’Shee Smith Barred by FINRA

According to a recent article in InvestmentNews, the Financial Industry Regulatory Authority (FINRA) says barred a former broker from Cetera Advisors of Avon, Connecticut, Marianne O’Shee Smith, for allegedly using client checks totaling $45,100 to buy mutual fund shares for someone from her own family. The clients, according to InvestmentNews, all senior citizens, allegedly directed […]

April 6, 2022
Kwasi Aggor Facing TD Ameritrade Client Complaint

Client Of TD Ameritrade Takes Issue With Securities Broker Kwasi Aggor's Sales Practices Soreide Law Group provides you with an update regarding securities broker Kwasi Mensah Aggor (CRD#: 4974222, Providence, Rhode Island). Evidently, the securities broker worked for firms AXA Advisors (2005 to 2007) and TD Ameritrade (2008 to 2018). Notably, FINRA barred Aggor as […]

April 6, 2022
Eric Pasquini In Cuna Investor’s Annuity Dispute

Cuna Brokerage Services Client Voices Dispute Over Securities Broker Eric Pasquini FINRA BrokerCheck shows that investors filed disputes about securities broker Eric Stephen Pasquini (CRD#: 3176301, Lemoyne, Pennsylvania). Pasquini worked for IDS Life Insurance Company, American Express Financial Advisors, Allstate Financial Services, Cuna Brokerage Services, and Lincoln Financial Advisors Corporation before joining Cetera Investment Services […]

April 6, 2022
Rafael Gonzalez Facing UBS Investor Claims

Broker Rafael Gonzalez Subject Of UBS Financial Investor Disputes The Financial Industry Regulatory Authority (FINRA) contains new information regarding securities broker Rafael Alberto Gonzalez (CRD#: 2096117, Coral Gables, Florida). It appears that Gonzalez worked for securities firms UBS Financial Services and Santander Securities before joining Morgan Stanley. Evidently, he is both a financial advisor and […]

April 5, 2022
JONATHAN M TURNER Fined and Suspended by FINRA

JONATHAN MICHAEL TURNER (JONATHAN M TURNER, CRD#: 4853469), previously with Ameriprise Financial Services, LLC, of Hershey, Pennsylvania, has been fined and suspended by the Financial Industry Regulatory Authority (FINRA) for allegedly failing to notify his firm of private business transactions. Turner was fined $5,000.00 and suspended for three months, 4/4/2022 - 7/3/2022. According to the […]

April 5, 2022
Nicholas McMahan Involved In BBVA Investor Disputes

Clients Of BBVA Broker Nicholas McMahan File Disputes Alleging Sales Practice Violations Investor dispute information is reported on FINRA BrokerCheck concerning securities broker Nicholas McMahan, also known as “Nick McMahan” (CRD#: 5578896, Austin, Texas). Evidently, McMahan worked for BBVA Compass Investment Solutions (2011 to 2013), BBVA Securities (2013 to 2021), and BBVA Wealth Solutions (2017 […]

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