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December 30, 2020
Thomas Marino Sanctioned Again By FINRA

Barred Broker Thomas Marino Sanctioned Again By FINRA Investor Alert! FINRA barred securities broker Thomas John Marino (CRD#: 4438533, Lake Worth Beach, Florida). Not only that, but the securities broker, who worked for firms JW Cole Financial and RM Stark, is involved in at least three investor disputes. These disclosures contain allegations that Marino sold […]

December 30, 2020
Kevin Houser REIT, BDC Disputes

LPL Clients Take Aim At Broker Kevin Houser For Alternative Investment Sales Soreide Law Group is contemplating potential FINRA Arbitration Claims or lawsuits on behalf of investors who lost money because of Kevin Douglas Houser (CRD#:  2513167, Center Valley, Pennsylvania). FINRA BrokerCheck shows that Houser worked for a number of well-known securities firms including LPL […]

December 29, 2020
Andy Scheirer’s Alternative Investment Sales Disputed

Broker Andy Scheirer Focus Of Disputes About Alternative Investments The investment loss recovery team at Soreide Law Group provides you with this Investor Alert update regarding securities broker Andrew Raymond Scheirer II who also goes by the name Andy Haas (CRD#: 4256666, Lake Mary, Florida). Evidently, five investors filed disputes to challenge the sales practices […]

December 29, 2020
Ryan Tarjanyi Under FINRA Investigation

FINRA Investigating Bankers Life Broker Ryan Tarjanyi For Unauthorized Transactions Soreide Law Group is reviewing possible investor lawsuits against securities broker Ryan Owen Tarjanyi (CRD#: 6065805, Greensburg, Pennsylvania). Notably, the Financial industry Regulatory Authority (“FINRA”) BrokerCheck report on Tarjanyi shows that he maintained employment at ProEquities from 2012 to 2016, Bankers Life Securities from 2016 […]

December 29, 2020
Chun Zhu Targeted In Disputes Against Waddell Reed

Broker Chun Zhu Involved In Investor Dispute Alleging Breach Of Fiduciary Duty The Financial Industry Regulatory Authority (“FINRA”) reports troubling information in regard to securities broker Chun Mei Zhu who also goes by the name Ida Mei Zhu (CRD#: 4863613, Bellevue Washington). Evidently, In May 2020, Zhu became a securities broker and financial advisor for […]

December 28, 2020
Dwight Lee Dykstra Suspended by FINRA

Soreide Law Group, based in Florida, obtained the following information on the Florida broker from FINRA’s website under, “Disciplinary and Other FINRA Actions, December 2020,” Dwight Lee Dykstra (CRD #1028210, Orlando, Florida). On October 7, 2020, an Acceptance, Waiver and Consent (AWC) was issued in which Dwight Lee Dykstra was assessed a deferred fine of […]

December 28, 2020
Eric Harding Investment Disputes

FINRA Indicates That Investors Disputed Eric Harding's Sales Practices Soreide Law Group is evaluating possible investor disputes in regard to securities broker Eric Wayne Harding (CRD#: 2207823, Scottsdale, Arizona). Notably, more than 10 investors disputed the sales practices of Harding, who worked for securities firms Wells Fargo and United Planners Financial Services and who was […]

December 28, 2020
Rand Heckler Faces SEC, FINRA Actions

Securities Broker Rand Heckler Targeted By SEC, FINRA Soreide Law Group provides you with this Investor Alert in regard to former Benjamin Jerold Brokerage I LLC securities broker Rand Alan Heckler (CRD#: 2689235, Glen Cove, New York). Notably, on September 30, 2020, SEC charged Heckler with violating securities laws. Not only that, but FINRA barred […]

December 28, 2020
John Riccardi Ordered To Pay Investor

Windsor Street Securities Broker John Riccardi Ordered To Pay Investor For Losses FINRA reports troubling information in regard to Windsor Street securities broker John F. Riccardi Jr. (CRD#: 4771185, New York, New York). Notably, FINRA indefinitely suspended Riccardi’s broker registration because he did not pay compensatory damages to a client who sued him for sales […]

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