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May 19, 2026
Mark Brosa Of Ameriprise Financial Services Barred By FINRA Following Suspension

Investors potentially incurred losses because of securities broker Mark Robert Brosa [CRD: 5481188, Lawrence, Kansas], given the public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Mark Brosa worked for Ameriprise Financial Services LLC from April 17, 2020, to March 22, 2024. Keep reading to learn more about the disclosures involving Mark Brosa. FINRA Sanctioned […]

March 10, 2026
Michael Montalvo Connected To Raymond James Investor Dispute About Failure To Repay Loan

Investors apparently complained about securities broker Michael Montalvo [CRD: 4549103, Orlando, Florida], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Michael Montalvo worked for Cetera Investment Services LLC from March 25, 2019, to April 6, 2020, and Raymond James Associates Inc. from April 6, 2020, to June 23, 2025. Read on to learn […]

October 22, 2024
Ronnie Dumag Barred by FINRA for Refusing to Cooperate

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals important details about securities broker Ronnie Rindon Dumag (also known as Ronnie R. Dumag) [CRD: 4783585, Sacramento, California]. Dumag worked for PFS Investments Inc. from August 16, 2004, to May 22, 2024. Recently, Dumag faced allegations involving harm to an elderly client. Evidently, FINRA barred him from the […]

February 25, 2024
PFS Broker Michael Archimede Sanctioned, Involved In Investor Complaint

Investors might have sustained losses due to Michael Archimede [CRD: 5701306, Waukesha, Wisconsin], according to disclosures of regulatory sanctions and an investment dispute on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Archimede worked for PFS Investments Inc. in Waukesha, Wisconsin, from 2010 to 2023. Continue reading to learn more about the specific allegations made against Archimede. […]

January 30, 2024
FINRA Expels Lickhai Quach

Soreide Law Group explains investor claims concerning Lickhai Quach [CRD: 2804704, Rockville, Maryland] reported on FINRA BrokerCheck. Evidently, Quach worked for Transamerica Financial Advisors Inc. from January 6, 2012, to March 10, 2023. Notably, FINRA barred the broker, and investors filed disputes alleging sales practice violations. Here’s more on those disclosures. FINRA Claims Failure To […]

May 31, 2023
William Winchester Expelled By FINRA

Soreide Law Group is investigating possible investor claims against securities broker William Forrest Winchester III (also known as Bill Woods) (CRD: 4404327, Chattanooga, Tennessee). Notably, FINRA sanctioned the securities broker, who worked for Raymond James Financial Services Inc. Allegedly, Winchester borrowed client funds and engaged in an undisclosed outside business activity. Here is a brief […]

May 27, 2023
FINRA Expels Eric Stone

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Eric Stone (CRD: 5227654, Jacksonville, Florida). Not only has FINRA sanctioned Stone for failing to testify when FINRA investigated him for potential FINRA rule violations regarding client loans, but investors disputed his sales practices. However, Stone denies the allegations. Read on to learn […]

March 12, 2023
Anthony Liddle Facing Investor Disputes

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Anthony Liddle (also known as Tony Liddle) (CRD: 5478479, Oshkosh, Wisconsin). Notably, investors disputed the sales practices of the securities broker, who worked for Landolt Securities Inc. Additionally, he discloses a regulatory enforcement action. Notably, these disclosures allege Liddle engaged in sales practice […]

February 14, 2023
FINRA Sanctions David Hixon

Soreide Law Group is investigating possible investor claims against securities broker David Hixon (also known as David Thomas Hixon) [CRD: 4707468, Scottsdale, AZ]. Notably, FINRA sanctioned the securities broker, who worked for Morgan Stanley. Allegedly, Hixon failed to provide information and documents to FINRA when it investigated potential FINRA rule infractions. Here is a brief […]

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