Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
January 8, 2019
FORMER NFL STAR AND LOTTERY WINNER ARE BOTH AWARDED $4.2 MILLION IN A LAWSUIT AGAINST MORGAN STANLEY

Former NFL Star and Lottery Winner Are both Awarded $4.2 Million In A Lawsuit Against Morgan Stanley A former NFL star and a lottery millionaire has won a lawsuit against Morgan Stanley to the tune of $4.2 million after a Finra arbitration panel slammed the firm for failure to supervise one of its brokers who […]

January 8, 2019
H.D. Vest Customers Allege Karl Ronald Foust Sold Unsuitable Investments

H.D. Vest Customers Allege Karl Ronald Foust Sold Unsuitable Investments Karl Ronald Foust Jr. (CRD#: 1010291, Boca Raton, Florida) is a prior H.D. Vest Investment Services securities representative. Foust began working at the firm’s Boca Raton, Florida branch on November 5, 2009. Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that numerous customers have complained about […]

January 7, 2019
Pruco Terminates Brokers Michael Pineda, Donna Guglielmi, Rajen Sheth

Pruco Terminates Brokers Michael Pineda, Donna Guglielmi, Rajen Sheth Pruco Securities, LLC (CRD#: 5685) is a Financial Industry Regulatory Authority (“FINRA”) regulated brokerage firm and (“SEC”) regulated investment adviser firm. Pruco Securities, LLC’s main offices are in Newark, New Jersey. Since September 22, 2003, Pruco Securities has amassed 42 discloses regarding its alleged mishaps in […]

January 7, 2019
Morgan Stanley Terminates Brokers Jill Cade, David Cote, Jesse Weissberger

Morgan Stanley Terminates Brokers Jill Cade, David Cote, Jesse Weissberger Morgan Stanley is both a brokerage firm registered with Financial Industry Regulatory Authority (“FINRA”) and investment adviser firm registered with Securities and Exchange Commission (“SEC”). FINRA BrokerCheck reports that the firm has been in 45 regulatory matters in which the firm allegedly violated FINRA rules […]

January 4, 2019
Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero

Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero Roberto Feria Cestero (CRD#: 3266245, Hato Rey, Puerto Rico) is a prior Santander Securities LLC securities broker. He worked at the dually-registered brokerage firm and investment adviser firm from July 14, 2006 to October 14, 2016. Evidently, many investors have disputed Cestero’s sales practices. Specifically, the […]

January 4, 2019
Claims Against Wells Fargo’s Scott Hilton, Ricardo Guimaraes, Jason Pokorny

Claims Against Wells Fargo’s Scott Hilton, Ricardo Guimaraes, Jason Pokorny Soreide Law Group is investigating possible claims of unsuitability against Wells Fargo Clearing Services, LLC brokers Scott Hilton, Ricardo Guimaraes and Jason Pokorny. Wells Fargo Clearing Services, LLC is a brokerage firm regulated by the Financial Industry Regulatory Authority (“FINRA”) and investment adviser firm regulated […]

January 4, 2019
Losses From Oppenheimer Brokers Daniel Katz, Anatole Forostenko, Eric Willer?

Losses From Oppenheimer Brokers Daniel Katz, Anatole Forostenko, Eric Willer? Soreide Law Group is investigating claims of sales practice violations including misrepresentation and suitability on behalf of customers who invested with Oppenheimer & Co. Inc. (CRD#: 249, New York, New York) securities brokers and financial advisors including Daniel Katz, Anatole Forostenko and Eric Willer. Here […]

December 31, 2018
Broker Frank Dietrich of Quest Capital Strategies Charged in Ponzi Scheme

Frank Roland Dietrich Barred by FINRA Frank Dietrich, broker at Quest Capital Strategies, was barred by FINRA for selling fake notes in a real estate Ponzi scheme.  Woodbridge Group filed for bankruptcy last year.  Frank Dietrich allegedly sold investors $10.8 million worth of promissory notes related to real estate holdings.  Frank Roland Dietrich used his […]

December 28, 2018
Soreide Law Investigating Midstates Petroleum Company

Soreide Law Investigating Midstates Petroleum Company Soreide Law Group is investigating claims on behalf of investors who purchased Midstates Petroleum Company, Inc. (NYSE: MPO)  from their broker. Primarily, Midstates Petroleum Company, Inc. is an independent production and exploration company which focuses on applying modern drilling techniques in liquids-rich and oil basis in the United States […]

Contact us Nationwide USA
2401 E. Atlantic Blvd., Suite 305, Pompano Beach, FL 33062
Helping clients recover money across the USA
search
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved