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April 6, 2020
JMLP or JMF Recommended by Broker?

Soreide Law Group is currently investigating claims on behalf of investors who have contacted us regarding losses in Nuveen All Cap Energy MLP Opportunities Fund (NYSE: JMLP) and Nuveen Energy MLP Total Return Fund (NYSE: JMF) through the recommendations of their broker/dealers or financial advisors. According to Yahoo Finance, Nuveen All Cap Energy MLP Opportunities […]

April 4, 2020
DON WOODS Allegedly Sold Bad REITs

LPL Broker Don Woods Allegedly Recommended, Sold Unsuitable Alternative Investments Investors are voicing complaints about securities broker Donald “Don” Stephen Woods [CRD#: 727894, Louisville, Kentucky]. Apparently, the securities broker worked for LPL Financial LLC between July 1, 2010 and January 20, 2017 and then worked for Thurston Springer Financial from December 22, 2016 to August […]

April 4, 2020
JOEL WEBER Allegedly Misrepresented Annuities

SII Clients Indicate Broker Joel Weber Misrepresented Annuity Income Riders Soreide Law Group is investigating potential investor claims of misrepresentation against securities broker Joel Howard Weber [CRD#: 1717681, Sartell, Minnesota]. Evidently, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck reports that five clients complained about the broker, who associated with SII Investments from 2002 to 2017 and […]

April 1, 2020
FINRA Suspends Broker DAVID FLEMING Again

FINRA Sanctions Broker David Fleming For Not Paying Customer Arbitration Award Investor Alert! FINRA reports alarming information in regard to securities broker David Wilson Fleming Jr. [CRD#: 1021968, White Plains, New York]. Notably, FINRA suspended Wilson twice. In addition, at least two investors raised serious concerns about the securities broker, who most recently worked for […]

March 31, 2020
James Knee Allegedly Misrepresented Risks

Broker James Knee Allegedly Misappropriated Funds Investor Alert! FINRA BrokerCheck discloses troubling information in regard to securities broker James “Jim” Edward Knee [CRD#: 1852920, Concord, New Hampshire]. Supposedly, at least 8 clients took issue with the securities broker, who worked for Ameriprise Financial Services between 2012 and 2015 and who also worked for Voya Financial […]

March 31, 2020
BRIAN DECKER Cause Your Losses?

FINRA Suspends Broker Brian Decker Soreide Law Group is investigating potential investor lawsuits against barred securities broker Brian Keith Decker [CRD#: 4565524, New York, New York]. Apparently, Decker associated with Worden Capital Management from 2017 to 2018. He also worked for Legend Securities from 2009 to 2016. Notably, FINRA barred the securities broker, and 11 […]

March 31, 2020
Tortoise Energy Infrastructure Corporation (TYG)

Have you experienced losses in Tortoise Energy Infrastructure Corporation (TYG) due to the recommendations of your broker/dealer or your financial advisor? Soreide Law Group is now conducting an investigation on behalf of investors who have contacted us due to losses from purchasing Tortoise Energy Infrastructure Corporation (TYG), a Master Limited Partnership (MLP) on the advice […]

March 30, 2020
TRAWNEGAN GALL Client Losses?

Soreide Law Group has been contacted by investors who were allegedly sold unsuitable investments presented by broker, TRAWNEGAN GALL (CRD#: 6266415) currently registered with WEALTHFORGE SECURITIES, LLC of Orange, California. According to FINRA’s BrokerCheck, which is available to the public on FINRA’s Website, TRAWNEGAN GALL has three disclosures on his CRD report.  Two of the […]

March 29, 2020
GARY HAMMOND Private Securities Disputes

MSI Financial Clients File Disputes About Gary Hammond Investors are alleging losses caused by securities broker Gary Wayne Hammond [CRD#: 2660432, Charlotte, North Carolina]. Evidently, MSI Financial Services, who Hammond worked for from 2000 to 2017, disaffiliated with him for allegedly selling away and [mis]handling a client complaint. Most significantly, Hammond is involved in 10 […]

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