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July 24, 2020
JAMES BLAKE DAUGHTRY Barred by FINRA

JAMES BLAKE DAUGHTRY (CRD#: 3272282), formerly with  KESTRA INVESTMENT SERVICES LLC of Dothan, AL was barred by FINRA from acting as a broker or otherwise associating with a broker-dealer firm on March 18, 2020. Daughtry was previously registered both as a broker and as an investment advisor. According to FINRA, without admitting or denying FINRA’s […]

July 23, 2020
ROBERT GIANCHIGLIA DPP, LP Losses?

Ameritas Clients Bring Disputes About Broker Robert Gianchiglia The investment loss recovery lawyers at Soreide Law Group have come across alarming information in regard to securities broker Robert Michael Gianchiglia (CRD#: 2117250, Worcester, Massachusetts). Namely, the securities broker, who joined securities firm UBS Financial Services in 2017 and who used to work for Ameritas Investment […]

July 23, 2020
STEPHEN SLOANE FINRA Complaint

STEPHEN SLOANE CRD#: 1257601, a broker currently with WestPark Capital of New York, NY, and formerly with Morgan Stanley also of New York, had a complaint filed against him by the Financial Industry Regulatory Authority’s Department of Enforcement. FINRA filed the complaint on July 20, 2020, alleging Sloane recommended costly and unsuitable investments for his […]

July 20, 2020
CBL & Associates Properties Inc (NYSE: CBL) Losses?

According to a recent article on Bloomberg’s website, CBL & Associates Properties Inc (NYSE: CBL) is preparing to file for bankruptcy, which according Bloomberg comes from people with knowledge of their plans.  CBL & Associates Properties Inc is the owner of more than 100 shopping malls across the U.S. CBL & Associates Properties Inc., according […]

July 16, 2020
Losses From Hi-Crush (NYSE: HCR) Bankruptcy?

Investors Face Peril From Hi-Crush's Chapter 11 Bankruptcy Investors might be facing losses after Houston, Texas based energy company Hi-Crush Inc. (NYSE: HCR) filed for Chapter 11 bankruptcy protection in the United States Bankruptcy Court for the Southern District of Texas. Soreide Law Group is reviewing possible investor lawsuits against those financial advisors and securities […]

July 16, 2020
Charles Kenahan Excessive Trading Lawsuits

Merrill Lynch Broker Charles Kenahan Under Investigation For Bad Trades Soreide Law Group is investigating claims on behalf of investors who purchased securities from Charles Ernest Kenahan (CRD#: 1351974, Boston, Massachusetts). Not only is the securities broker under investigation by New Hampshire Department of State Bureau of Securities Regulation, but at least four investors brought […]

July 16, 2020
ADRIENNE JAIME MAK Barred by FINRA

ADRIENNE JAIME MAK (ADRIENNE MAK) CRD#: 5656269, formerly of  J.P. MORGAN SECURITIES LLC of HACIENDA HEIGHTS, CA, was recently barred by the Financial Industry Regulatory Authority (FINRA) from association with any FINRA member in any capacity. According to the FINRA report, without admitting or denying the allegations, ADRIENNE JAIME MAK consented to the sanction and […]

July 15, 2020
ROBERT JAMES MCNAMARA and EUGENE J LONG

ROBERT JAMES MCNAMARA CRD#: 1207495 and EUGENE JAMES LONG (E J LONG, EUGENE J LONG) CRD#: 2386267, both registered representatives with CADARET, GRANT & CO., INC., were fined $5,000 each and suspended from association with any FINRA member firm in any capacity for 15 business days by FINRA. FINRA alleged that between August of 2017 […]

July 14, 2020
Jason Mosher Sell You Bad Investments?

Kalos Clients Might Have Been Sold Unsuitable, Misrepresented GPB Funds Soreide Law Group is reviewing possible investor disputes in regard to financial advisor Jason James Mosher (CRD#: 3070810, Canandaigua, New York). Namely, FINRA BrokerCheck indicates that securities brokers at Kalos Capital possibly sold unsuitable investments including GPB Funds. In fact, investor disputes involving one or […]

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