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August 9, 2019
Eric Nichols, Former Morgan Stanley Broker Fined

A Eric Nichols CRD#: 2710703, former broker with Morgan Stanley of Rolling Hills, California, was fined $5,000 by the Financial Industry Regulatory Authority (FINRA) for allegedly attempting to settle one of his client’s complaints on his own.  Nichols also agreed to serve a 15 day suspension from the industry. Nichols allegedly wrote $28,000 of checks […]

August 8, 2019
JEFFREY DIXSON Cause Your Investment Losses?

Losses from Jeffrey Dixson? Soreide Law Group is reviewing possible claims of investment related sales practice violations against financial advisor Jeffrey Dixson (CRD#: 4166311, Vancouver, Washington). Namely, the Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report for Dixson shows that one regulator sanctioned Dixson for selling unlicensed products to clients and misrepresenting annuity applications. Not only […]

August 8, 2019
RICK KONECNY Sell You Bad Stocks?

Losses from Rick Konecny? The Financial Industry Regulatory Authority (“FINRA”) reports troubling disclosures from securities broker Rick Konecny (CRD#: 1727785, Chicago, Illinois). Evidently, the securities broker, who recently worked for J.P. Morgan Securities LLC (July 2013 to April 2016), discloses three regulatory sanctions, including a permanent bar from the securities industry by FINRA, along with […]

August 7, 2019
KEVIN WARES Sell You Unsuitable Investments?

Losses due to KEVIN WARES? The Financial Industry Regulatory Authority (“FINRA”) confirms through BrokerCheck that clients disputed the sales practices of securities broker Ahmad (“Kevin”) Wares (CRD#: 2959624, Melville, NY). Notably, clients’ claims suggest Kevin Wares made excessive, unauthorized and unsuitable trades at the expense of his customers. Here’s a summary of some disputes involving […]

August 7, 2019
MICHAEL SPOLAR Dealt FINRA Suspension

MICHAEL SPOLAR Dealt FINRA Suspension The Financial Industry Regulatory Authority (“FINRA”) issued a 15-month suspension to International Assets Advisory LLC (“IAA”) securities broker Michael Spolar (CRD#: 2192992, Orlando, Florida). Evidently, Spolar executed a Letter of Acceptance, Waiver and Consent (“AWC”) on July 16, 2019, which FINRA accepted ten days later. Notably, Spolar’s suspension, effective August […]

August 6, 2019
Soreide Law Group Files Lawsuit Against TITAN SECURITIES

Soreide Law Group has filed a FINRA arbitration on behalf of their client (Claimant) against: TITAN SECURITIES (Respondent). The Claimant resides in Texas and maintained an investment relationship with the Respondent and their former Financial Advisor, WALTER WARREN PARKER (WALTER PARKER) CRD#: 2131232. Walter Parker, formerly of Titan Securities, is not named in this lawsuit. […]

August 4, 2019
JIM HEAFNER Barred By FINRA

Broker JIM HEAFNER Barred By FINRA The Financial Industry Regulatory Authority (“FINRA”) indefinitely barred Taylor Capital Management Inc. securities broker Jim Heafner (CRD#: 4837072, Charlotte, North Carolina). Evidently, in a Letter of Acceptance, Waiver and Consent (“AWC”) #: 2018059962701, which was executed by Heafner June 6, 2019 and accepted by FINRA July 30, 2019, Heafner […]

August 4, 2019
SHAWN BURNS Churn Your Accounts?

SHAWN BURNS Losses? Soreide Law Group is reviewing possible investor claims against Salomon Whitney Financial securities broker Shawn Burns (CRD#: 3138114, Farmingdale, New York). Evidently, Burns’ Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report contains thirty-two disclosures regarding regulatory actions and client disputes. The broker, who FINRA barred August 28, 2017 for failing to respond to […]

August 1, 2019
MATTHEW ALBERS Suspended By FINRA

MATTHEW ALBERS Suspended By FINRA The Financial Industry Regulatory Authority (“FINRA”) disclosed August 1, 2019 that it issued a suspension and $5,000 fine to Paulson Investment Company securities broker Matthew Albers (CRD#: 2917814, Vienna, Virginia) for discretionary trading. Evidently, Albers submitted a Letter of Acceptance, Waiver, and Consent (“AWC”) #: 2018056269001 on July 17, 2019. […]

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