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November 18, 2022
Investors File Disputes About Thais Piotrowski

Investors have come forward with complaints about securities broker Thais Piotrowski AKA Thais Drummond Moreira [CRD#: 4729077, Boca Raton, FL]. Evidently, the securities broker, who worked for Ameriprise Financial Services, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Ameriprise Financial Services clients allege that Piotrowski made unsuitable recommendations. For more on these […]

May 6, 2013
FINRA Alerts Broker/Dealers Regarding Non-Traded REITs

FINRA, the Financial Industry Regulatory Authority Inc., is alerting broker-dealers to a number of shortcomings in how they communicate with investors about non-traded real estate investment trusts (REITs). According to FINRA, broker-dealers are falling short in a some areas, including distributing materials that contain misleading and inaccurate statements about the potentials of investing in illiquid […]

February 7, 2013
LPL Financial Ordered to Pay $2 mill Over Sales of Non-Traded REITs

On Feb. 6th., 2013, LPL Financial, LLC, was ordered by Massachusetts Security Division to pay restitution of more than $2 million to investors who bought shares of nontraded real estate investment trusts (REITs) and a $500,000 administrative fine, which involved investors who bought shares of several different nontraded REITs in violation of state limitations, and […]

January 9, 2013
LPL Sued over Nontraded REIT Sales by Massachusetts

Massachusetts securities regulators sued LPL Financial, LLC, in December over sales practices of brokers regarding the REITs. Secretary of the Commonwealth, William Galvin, charged LPL Financial with a failure to supervise registered reps who sold the nontraded REITs in violation of both state limitations and the company's rules. The Securities Division also charged LPL Financial […]

December 30, 2011
Did you Invest with Jason May?

Former Ameriprise broker, Jason May (CRD# 4255401), in Delray Beach and Boynton Beach, Florida, has been barred for life by FINRA for failing to respond to FINRA requests for information after he was suspended for 60 days.   Our investigation has uncovered that Mr. May may have encouraged his clients to take out loans through a […]

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