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October 21, 2025
Solomon Tobal Facing Morgan Stanley Client Complaints Concerning Misrepresentation

Investors apparently complained about securities broker Solomon Tobal [CRD: 7643877, Hackensack, New Jersey], based on disclosures on FINRA BrokerCheck. Evidently, Tobal worked for Morgan Stanley from November 27, 2023, to August 20, 2025, and previously with VCP Financial LLC from February 13, 2023, to September 19, 2023. As of July 22, 2025, he has been […]

October 21, 2025
Jason Kurtz Barred By FINRA, Linked To U.S. Bancorp Investors’ Misrepresentation Claims

FINRA barred securities broker Jason Mark Kurtz [CRD: 4958219, Denver, Colorado], and investors complained about him, based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Kurtz worked for U.S. Bancorp Investments Inc. from December 2, 2019, to November 4, 2022, Edward Jones from July 25, 2018, to December 3, 2019, and […]

October 21, 2025
Robert Ainbinder Involved In WestPark Capital Client Complaints Re: Unsuitable Advice

Investors reportedly complained about securities broker Robert Edward Ainbinder Jr. [CRD: 2389470, Boca Raton, Florida], based on disclosures on FINRA BrokerCheck. Evidently, Ainbinder worked for WestPark Capital Inc. from November 4, 2022, to January 11, 2023; Univest Securities LLC from June 22, 2020, to January 25, 2021; and WestPark Capital Inc. again from November 6, […]

October 20, 2025
Structuring a Cross-Border Securities Offering: Key U.S. Exemptions from Registration

Because of the depth and liquidity of the U.S. capital markets, American investors often represent a valuable supplementary investor base for both public and private Canadian offerings and foreign offerings in general. Yet for many Canadian issuers and their advisors, understanding the U.S. securities exemptions for foreign issuers can appear complex and intimidating. When a […]

October 20, 2025
Rule 144 vs Rule 144A: Key Differences in Securities Regulation

When navigating U.S. securities law, two commonly encountered provisions are Rule 144 and Rule 144A. Though the rules sound similar, they serve quite different functions and apply to different circumstances. Below is a refined explanation of each rule and their main distinctions. What Is Rule 144A? Rule 144A provides a “safe-harbor” exemption from the registration […]

October 20, 2025
Enrique Lopez Tied To LPL Financial Investor Arbitration Claims About Unsuitable Advice

Investors potentially experienced sales practice violations due to securities broker Enrique Lopez (also known as Rick Lopez) [CRD: 2209385, Mission, Texas], based on publicly available information Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Lopez worked for LPL Financial LLC in McAllen, Texas, from March 13, 2008, to August 8, 2018, and has been registered with […]

October 20, 2025
George Hovany Linked To Wintrust Investments Clients’ Misrepresentation Claims

Investors apparently complained about securities broker George Edward Hovany [CRD: 1188851, Vernon Hills, Illinois], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Hovany worked for Wintrust Investments LLC from November 21, 2008, to July 6, 2020. Read below to find out more about the disclosures related to Hovany. Wintrust Investments Investor Accused […]

October 20, 2025
William Carlton Involved In UBS Financial Investor Complaint About Unsuitable Advice

Investors reportedly complained about securities broker William Jeffrey Carlton (also known as Jeff Carlton) [CRD: 1132967, McLean, Virginia], according to disclosures on FINRA BrokerCheck. Evidently, Carlton worked for UBS Financial Services Inc. from September 21, 2007, to January 12, 2024, before joining Aegis Capital Corp. on December 21, 2023, where he is currently registered in […]

October 19, 2025
Alan Douglass Linked To Investacorp Clients’ Misrepresentation Allegations

Investors might have sustained losses due to securities broker Alan Duane Douglass (also known as Roof Douglass) [CRD: 1619835, Clearwater, Florida], based on publicly available information Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Douglass worked for Investacorp Inc. from March 7, 1995, to July 17, 2020; for Securities America Inc. from July 17, 2020, to […]

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