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January 5, 2021
William Randall Supposedly Breached Fiduciary Duty

Breach Of Fiduciary Duty Alleged In Dispute About William Randall Soreide Law Group is examining possible investor lawsuits against securities broker William Perry Randall (CRD#: 1392233, Rockford Illinois). The Financial Industry Regulatory Authority (“FINRA”) reports that at least two investors disputed Randall’s sales practices. These disputes raise allegations of breach of fiduciary duty and suitability. […]

January 5, 2021
Shahida Hossain Terminated From RBC

Broker Shahida Hossain Terminated From RBC, Involved In Wells Fargo Investor Disputes Soreide Law Group provides you with this Investor Alert in regard to securities broker Shahida Arunima Hossain (CRD#: 2783839, Chicago, Illinois), who also goes by the name Shahida Syeda. Just in May 2020, RBC Capital Markets disaffiliated with the broker. In addition, two […]

January 4, 2021
Farrukh Kazmi In Alternative Investment Disputes

Berthel Fisher Clients Indicate That Broker Farrukh Kazmi Sold Bad Alternative Investments The investment loss recovery team at Soreide Law Group provides you with this Investor Alert regarding Farrukh Shazad Kazmi (CRD#: 2855915, Moorestown, New Jersey). Evidently, this securities broker joined Berthel Fisher & Company (“Berthel Fisher”) in January 2010. Notably, FINRA BrokerCheck shows that […]

January 4, 2021
John Orlando Involved In Disputes About Churning

Broker John Orlando Allegedly Churned Investor Accounts And Recommended Unsuitable Securities Investor Alert! Soreide Law Group recently came across the FINRA BrokerCheck profile of securities broker John Anthony Orlando (CRD#: 2002197, Lighthouse Point, Florida) which shows that five investors disputed his sales practices. Evidently, the securities broker worked for Sterne Agee Financial Services (2009 – […]

January 4, 2021
Worden Capital Management Customer Complaints

In a recent press release from the Financial Industry Regulatory Authority, Inc. (FINRA), it was announced that FINRA sanctioned Worden Capital Management LLC (WCM) over $1.5 million, which included approximately $1.2 million in restitution to clients whose accounts were allegedly excessively traded by the WCM’s representatives, and a $350,000 fine for supervisory and other violations. […]

January 4, 2021
Jonathan Lonske Suitability, Misrepresentation Disputes

Morgan Stanley Clients Take Aim At Broker Jonathan Lonske For Alleged Sales Practice Violations The Financial Industry Regulatory Authority (“FINRA”) reports troubling information on securities broker Jonathan William Lonske (CRD#: 2594921, Boston, Massachusetts). Notably, Morgan Stanley, who Lonske worked for between 2009 and 2020, disaffiliated with him for alleged transgressions. In addition, four investors challenged […]

January 3, 2021
Michael Shillin Losses?

Broker Michael Shillin Under FINRA Investigation Soreide Law Group is reviewing possible investor lawsuits against securities broker Michael Francis Shillin (CRD#: 5927156, Altoona, WI). Notably, on November 20, 2020, FINRA initiated an investigation into the broker, who worked for securities firms Alliance Global Partners (AGP) from 2018 to 2020 and Raymond James from 2014 to […]

January 3, 2021
Cubby Bice Involved In Private Placement Disputes

Broker Cubby Bice Supposedly Recommended Bad Private Placements Investor Alert! FINRA reports that investors have disputed the sales practices of Sagepoint Financial’s Christopher “Cubby” R. Bice (CRD#: 3222439, Greensboro, North Carolina). Apparently, Bice – who has been with Sagepoint as a securities broker and financial advisor since 2005 – might have sold unsuitable securities to […]

January 3, 2021
Kevin Graetz Charged In SEC Lawsuit

Securities Broker Kevin Graetz Allegedly Sold Scam Belize Fund Investment Investor Alert! The Securities and Exchange Commission (“SEC”) announced charges against barred broker Kevin Richard Graetz (CRD#: 1935982, New York, New York) for his role in purportedly selling sham Belize Infrastructure Fund I promissory notes. Additionally, the Financial Industry Regulatory Authority (“FINRA”) shows that 9 […]

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