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June 19, 2018
Payson Petroleum Investment Losses?

ATTENTION PAYSON PETROLEUM INVESTORS – CALL Our Securities Lawyers if You’ve Invested with Payson Petroleum, Payson Operating, or any of Their Private Placements If you have invested in any of Payson Petroleum/Payson Operating’s private placements, including the 3 Well Programs, contact our securities lawyers for a free consultation.  Our lawyers have recovered tens of millions […]

June 8, 2018
Former U.S. BANCORP INVESTMENTS Broker, JOHN DOUGLAS WADE Barred by FINRA

JOHN DOUGLAS WADE (JOHN D WADE) CRD#: 4486552, of Buena Park, California , a former U.S. Bancorp Investments broker, was barred by the Financial Industry Regulatory Authority Inc. (FINRA) from acting as a broker or otherwise associating with a broker-dealer firm following allegations of converting more than $200,000 from clients' accounts for his own personal […]

June 7, 2018
Donnell Noah Bowen, Formerly with Northwestern Mutual Washington DC, Barred by FINRA

Donnell Noah Bowen CRD#: 5641822 has been barred by the Financial Industry Regulatory Authority Inc.  (FINRA) from acting as a broker or otherwise associating with a broker-dealer firm. FINRA barred Bowen, formerly a representative with Northwestern Mutual in Washington D.C., for failing to provide requested information and for failing to appear at FINRA hearing. Bowen […]

June 5, 2018
MARK J GILLIS Sentenced for Defrauding Clients $400K

MARK JOSEPH GILLIS (MARK J GILLIS) CRD#: 2381496, 48 years-old from Saranac Lake, New York, was sentenced to time served and a year of home detention for defrauding clients of his brokerage firm out of nearly $400,000. Gillis was ordered by the Senior U.S. District Judge to forfeit $379,562 and to pay $226,500 in restitution […]

June 4, 2018
Four Brokers Barred By FINRA

The following four registered representatives were barred from acting as a broker or otherwise associating with a broker-dealer firm by FINRA in May of 2018 for allegedly failing to cooperate with FINRA investigations: LEONA LYNN PARSONS (LEONA PARSONS) CRD#: 6164352  AMY ELIZABETH PESINA (AMY ELIZABETH O'CONNOR) CRD#: 6503149   DALLAS RICHARDSON YORK (DALLAS YORK) CRD#: […]

June 4, 2018
STEVEN PAGARTANIS, Formerly with Cadaret Grant in Setauket, New York Charged with $8 Million Scheme

STEVEN PAGARTANIS (STEVE PAGARTANIS) CRD#: 1958879, a 58 year-old former financial advisor was charged with two counts of first-degree larceny and two counts of second-degree larceny by the Suffolk County, New York prosecutors. A separate action was filed by the Securities and Exchange Commission (SEC) in the Federal District Court in Brooklyn, New York. This […]

May 31, 2018
Frank Bazan, Formerly with BBVA Securities of Houston, Fined and Suspended by FINRA

Soreide Law Group obtained the following information on FINRA’s website from the May 2018 Disciplinary Report.  Frank Bazan (CRD #5593113, Houston, Texas) was assessed a deferred fine of $20,000 and suspended from association with any FINRA member in all capacities for seven months for allegedly failing to disclose to his member firm that he was […]

May 30, 2018
Howard Price III, Formerly with AXA Advisors Charged in $475K Theft from Retirement Accounts

HOWARD MILTON PRICE III (HOWARD PRICE) CRD#: 4650960, a 44 year old broker, formerly with AXA Advisors in Scottsdale, Arizona, was charged with stealing $475,000 from three of his clients' retirement accounts. Officials said that Howard Price III is charged with one count of fraudulent schemes and artifices and three counts of theft. According to […]

May 29, 2018
Soreide Law Group Files FINRA Arbitration Against NATIONAL SECURITIES CORPORATION

Soreide Law Group has filed a FINRA arbitration on behalf of our clients (Claimants) against NATIONAL SECURITIES CORPORATION (Respondent). The Claimants, a married couple, have suffered losses due to the alleged mishandling the Claimants’ assets by the Respondent by failing to properly allocate and diversify the Claimants’ investment portfolios by over concentration their holdings into […]

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