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July 20, 2018
FINRA Award to Client of Craig Hodges and First Dallas Securities Inc.

Aclient of CRAIG DONALDSON HODGES (CRD#: 1714289) received an award granted by a FINRA arbitration panel (Arbitration No.17-02401) against Craig Hodges, Hodges' brokerage firm, Hodges Capital Management, and his investment advisory firm, First Dallas Securities.  According to FINRA’s BrokerCheck, which is available to the public on FINRA’s website, the client alleged: BREACH OF FIDUCIARY DUTY, BREACH […]

July 19, 2018
Soreide Law Group Files FINRA Arbitration Against MORGAN STANLEY and Their Former Broker, MICHAEL FITZ-GERALD

Soreide Law Group recently filed a FINRA arbitration on behalf of their clients (Claimants) against: MORGAN STANLEY and their former registered representative, MICHAEL EDWARD FITZ-GERALD (MICHAEL EDWARD FITZGERALD) CRD# 209062 (Respondents)  The Claimants are a retired, married couple living in California. MICHAEL EDWARD FITZ-GERALD, was an employee and registered representative of MORGAN STANLEY. The lawsuit […]

July 16, 2018
Soreide Law Group Files FINRA Arbitration Against CAPITAL FINANCIAL SERVICES

Soreide Law Group has filed a FINRA arbitration on behalf of their client (Claimant) against the firm: CAPITAL FINANCIAL SERVICES, INC. (Respondent) The Claimant is retired, in his 70s, and living in Maryland. The lawsuit alleges that the Claimant was looking for safe and secure retirement income and sought the advice of CAPITAL FINANCIAL broker, […]

July 13, 2018
Park Avenue Securites Censured and Fined $300K by FINRA

Soreide Law Group obtained the following information on FINRA’s website under, “Disciplinary and Other FINRA Actions, June 2018.”  Soreide Law Group has handled past cases against Park Avenue Securites. Park Avenue Securities LLC (CRD #46173, New York, New York) was censured, fined $300,000 and required to submit a written certification to FINRA that it has […]

July 12, 2018
Hector May, Formerly of Securities America, Accused in Alleged Ponzi Scheme

HECTOR ANTHONY MAY (HECTOR A MAY) CRD#: 323779, a 77 year-old financial advisor from Orangeburg, New York, has been accused of operating a Ponzi-like fraud by his former clients.  May worked as an investment contractor for Securities America since 1994.  Some of Hector May’s clients recently filed a complaint against the national brokerage house, accusing them of […]

July 11, 2018
Former MORGAN STANLEY Broker, CORNELIUS PETERSON Sentenced

CORNELIUS PETERSON (CRD#: 5769919) a former MORGAN STANLEY of Boston financial advisor, was sentenced by a federal judge in Boston to 20 months in prison for misusing hundreds of thousands of dollars in clients’ money. Peterson pleaded guilty in February to fraud and conspiracy due to unauthorized investments in a wind farm. According to the […]

July 10, 2018
Soreide Law Group Files FINRA Arbitration Against AMERITAS INVESTMENT CORP.

Soreide Law Group has filed a FINRA arbitration on behalf of their clients (Claimants) against:  AMERITAS INVESTMENT CORP. (Respondent)  The Claimants are a retired, married couple who allegedly relied upon AMERITAS INVESTMENT CORP. and its former financial advisor, Michael Arteca. The lawsuit states that Arteca had sold the Claimants an annuity with a guaranteed income benefit. […]

June 21, 2018
Vincent Santoro, formerly with State Farm VP Management of Lake Mary, Florida, Barred by FINRA

Soreide Law Group, based in Florida, obtained the following information from the June 2018 FINRA Disciplinary Report, available to the public on FINRA’s website.  Vincent Santoro (CRD #3006826, Lake Mary, Florida)  was barred by FINRA all capacities for allegedly refusing to appear for a FINRA on-the-record testimony in connection with an investigation into allegations regarding […]

June 19, 2018
BRADLEY EVERETT GARDNER, Formerly with LPL Financial, Barred by FINRA

BRADLEY EVERETT GARDNER (CRD#: 4423724) an advisor formerly with LPL Financial in Fort Bragg, California, has been barred by FINRA from acting as a broker or otherwise associating with a broker-dealer firm, following allegations of misappropriating $7,400 from an elderly client. According to FINRA, Gardner allegedly accepted a $7,400 personal check from the elderly client […]

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