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June 17, 2019
WEATHERLY OIL AND GAS LLC Losses?

WEATHERLY OIL AND GAS LLC Losses? Soreide Law Group is reviewing possible investor claims against brokers and financial advisors who sold investors Weatherly Oil and Gas LLC. Evidently, Weatherly, an oil and gas acquisition and exploitation company, is private-equity backed and concentrates in the region of Texas, Louisiana and Arkansas. The company controls more than […]

June 17, 2019
FLOYD EARL POWELL Barred by FINRA

Did you suffer losses due to the recommendations in the Woodbridge Group of Companies from the former broker, now barred by the Financial Industry Regulatory Authority, Inc. (FINRA), from Albertville, Alabama, FLOYD EARL POWELL (CRD#: 2220029) Two years ago the alleged $1.2 billion Ponzi scheme, the Woodbridge Group of Companies, collapsed creating devastating losses for […]

June 15, 2019
JAMES LYONS Cause Your Investment Losses?

JAMES LYONS Cause Your Investment Losses?  Soreide Law Group is reviewing possible claims on behalf of investors who lost money investing with Raymond James & Associates, Inc. (“Raymond James”) securities broker James Lyons (CRD#: 1020397, Shreveport, Louisiana), who FINRA barred on June 4, 2018. Notably, the Financial industry Regulatory Authority (“FINRA”) shows that at least […]

June 15, 2019
DREAMFUNDED MARKETPLACE LLC Losses?

DREAMFUNDED MARKETPLACE LLC Losses? The Financial industry Regulatory Authority (“FINRA”) declared on June 5, 2019 that it expelled funding portal member DreamFunded Marketplace, LLC (“DreamFunded”) (CRD#: 283594). FINRA also barred its CEO and co-founder, Manuel Fernandez (CRD#: 6639970). Evidently, in an Extended Hearing Panel Decision #:2017053428201, FINRA’s Office of Hearing Officers found that DreamFunded and […]

June 14, 2019
NINA JESSEE Barred by FINRA

The Financial Industry Regulatory Authority, Inc. (FINRA) has barred NINA SUE JESSEE (NINA JESSEE, NINA CAMPBELL JESSEE) CRD#: 1484808 from acting as a broker or otherwise associating with a broker-dealer firm. Jessee, resigned from Cetera Advisors of Abingdon, Virginia in November of 2017 following allegations of unauthorized outside business activity. According to FINRA, on June […]

June 13, 2019
CENTER STREET SECURITIES, INC.

Soreide Law Group has filed a FINRA arbitration on behalf of our clients (Claimants) against: CENTER STREET SECURITIES, INC. (Respondent) The Claimants, a married couple from Arizona, bring this action to recover financial losses they sustained allegedly due to the Respondent’s mishandling of the Claimants’ assets by failing to properly allocate and diversify Claimants’ retirement […]

June 13, 2019
JOHN PRONOVOST Misrepresent Your Investments?

JOHN PRONOVOST Misrepresent Your Investments? Soreide Law Group is looking into possible investment-loss related disputes on behalf of clients who invested with Cambridge Investment Research, Inc. securities broker John Pronovost (CRD#: 1990612, Watertown, CT). As the Financial Industry Regulatory Authority (“FINRA”) reports on BrokerCheck, Pronovost, who has been registered through the firm since February 29, […]

June 13, 2019
CURTIS ILE Issued Suspension By FINRA

CURTIS ILE Issued Suspension By FINRA The Financial industry Regulatory Authority (“FINRA”) announced that it has suspended Sigma Financial Corporation securities broker Curtis Ile (CRD#: 4009787, Mount Carmel, Illinois). Ile evidently mismarked order tickets, exercised discretion improperly, and failed to review information before making recommendations. The suspension, effective June 3, 2019 to December 2, 2019, […]

June 12, 2019
RON RAY WILLOUGHBY JR Fined and Suspended

Broker, RON RAY WILLOUGHBY JR (CRD#: 2425926), formerly with Morgan Stanley of Tempe, AZ, currently with Kestra Investment Services of Venice, CA, was fined $5,000 by FINRA and was  suspended for three months, with starting date of July 1, 2019 and ending date, September 30, 2019. According to FINRA, allegedly, RON RAY WILLOUGHBY JR engaged […]

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