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September 23, 2020
Rich Coleman Suspended Again By FINRA

Broker Rich Coleman Suspended By FINRA Again Soreide Law Group is examining whether to bring investor lawsuits against securities broker Richard James Coleman (CRD#: 2720422, Melville, New York). Specifically, Coleman is presently under a FINRA suspension for not paying a FINRA Arbitration Award. Not only that, but FINRA issued him a hefty two-year suspension along […]

September 22, 2020
Marshall Owen Isaacson Barred

Marshall Owen Isaacson, a former broker with Newbridge Securities of Boca Raton, Florida, was recently barred by FINRA for allegedly making unsuitable investment recommendations to his clients. According to FINRA, without admitting or denying FINRA’s findings, Marshall Owen Isaacson consented to the sanction and to the entry of findings that he allegedly refused to provide […]

September 22, 2020
Claim Made Against Mark Alan Cline and National Securities

Soreide Law Group files 11 FINRA arbitration claims against Mark Alan Cline and National Securities Corporation for sales of GPB Products. Eleven separate FINRA actions have been by Soreide Law Group against Mark Alan Cline (“Cline”) and National Securities Corporation (“NSC”) on behalf of multiple retirees living in the Villages, Florida. The lawsuits collectively claim […]

September 22, 2020
Private Placements and REITs Trading Less Than Stated Value

Private Offerings and REITs May Not Be Worth What You Paid IS YOUR BROKER LYING TO YOU ABOUT THE VALUE OF THE INVESTMENTS THEY SOLD? Brokers will always list the stated value from the sponsor of most REITS and private offerings they sold you since they don’t freely trade on any market. What most clients […]

September 21, 2020
Clients of JOSEPH IJONG CHU

Soreide Law Group is investigating claims made against the broker/financial advisor, formerly of MERRILL LYNCH, PIERCE, FENNER & SMITH INC. Greenwich, Connecticut, and currently with RBC CAPITAL MARKETS, LLC of Stamford, Connecticut: JOSEPH IJONG CHU (CRD#: 4546805) There was a claim filed recently against Merrill Lynch and RBC Capital Markets on behalf of investors seeking […]

September 21, 2020
WILLIAM COLIN SEIBERT of Raymond James

Soreide Law Group is currently investigating potential claims made by investors who have contacted us alleging that WILLIAM COLIN SEIBERT, currently a broker and investment advisor with RAYMOND JAMES & ASSOCIATES, INC. in Louisiana, allegedly recommended they purchase large concentrations of the high-risk oil and gas stocks, Linn Energy and Memorial Production Partners LP (MEMP). […]

September 20, 2020
Jim Parrelly Seemingly Trades Excessively

Investment Planners Broker Jim Parrelly Supposedly Caused Investors' Losses Investor Alert! Financial Industry Regulatory Authority (“FINRA”) shows that James “Jim” Anthony Parrelly (CRD#: 728368, Dearborn, Michigan) is a problem securities broker. Notably, there are 12 disclosures on Parrelly’s record which all suggest that he did something wrong. This includes not just investor complaints or lawsuits […]

September 20, 2020
Jody Thompson Private Equity Losses?

Alexander Capital Broker Jody Thompson Might Have Sold You Bad Alternative Investments The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations of sales practice violations by Alexander Capital securities broker Jody Ethan Thompson (CRD#: 2391190, New York, New York). In fact, Thompson discloses three investment disputes on his FINRA BrokerCheck Report which signals that he […]

September 20, 2020
Ronald Richer Misleads FINRA, Gets Barred

Garden State Broker Ronald Richer Barred By FINRA Soreide Law Group is determining whether to bring lawsuits on behalf of investors against securities broker Ronald Richer (CRD#: 2988381, New York, New York). Namely, the Financial Industry Regulatory Authority (“FINRA”) indicates through BrokerCheck that Richer has nine disclosures on his record. These disclosures not only concern […]

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