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September 20, 2025
John Lemak Linked To Axiom Capital Management Client’s Breach Of Fiduciary Duty Claim

Investors might have sustained losses due to securities broker John Sandor Lemak [CRD: 845891, Dallas, Texas], according to disclosures found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, John Lemak has worked for Axiom Capital Management Inc. since February 18, 2015, and for Sandor Advisors LLC since July 23, 2002. Read on to discover more […]

September 18, 2025
Michael Rudio Facing LPL Financial Investor Disputes Re: Unsuitable Recommendations

Investors potentially experienced sales practice violations due to securities broker Michael Christopher Rudio [CRD: 6322313, Atlanta, Georgia], according to public information on FINRA BrokerCheck. Rudio has worked for Purshe Kaplan Sterling Investments since August 11, 2021, and for Phase Line Capital LLC since July 12, 2021. Previously, he worked with LPL Financial LLC from August […]

September 17, 2025
William Olinger Facing Dispute With Valmark Securities Client Over Negligence

Investors reportedly complained about securities broker William David Olinger II (also known as Bill Olinger) [CRD: 352019, Gainesville, Florida], according to publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Olinger worked for Valmark Securities Inc. from August 18, 2000 to February 28, 2025. Read below to discover more about Olinger’s disclosures […]

September 16, 2025
Andrew Sinsigalli Involved In Merrill Lynch Investor’s Unsuitable Recommendations Claim

One or more investors possibly experienced losses because of securities broker Andrew Thomas Sinsigalli (also known as Andy Sinsigalli) [CRD: 2178808, San Jose, California], according to disclosures on FINRA BrokerCheck. Evidently, Sinsigalli has worked for Merrill Lynch since December 17, 2010, as a broker and since February 15, 2011, as an investment adviser. Read below […]

September 15, 2025
Sanford Schmidt At Center Of Catalyst Wealth Management Client’s Promissory Note Lawsuit

Investors apparently complained about securities broker Sanford Allen Schmidt (also known as Sandy Schmidt) [CRD: 1163559, Deerfield, Illinois], based on publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Schmidt has been employed with Catalyst Wealth Management since November 30, 2016, and The Leaders Group Inc. since April 13, 2023, with previous associations […]

September 14, 2025
Rodger McAlister Involved In Money Concepts Clients’ Unsuitable Advice Complaints

Investors potentially experienced sales practice violations due to securities broker Rodger Anthony McAlister [CRD: 2676623, Louisville, Kentucky], according to disclosures on FINRA BrokerCheck. Evidently, McAlister has worked for Money Concepts Capital Corp since December 12, 2005, and for Money Concepts Advisory Service since March 12, 2007. Read below to learn more about McAlister’s disclosures and […]

September 13, 2025
Lawrence Nagel Connected To Merrill Lynch Investor Claims About Omissions

Investors reportedly complained about securities broker Lawrence Joshua Nagel [CRD: 3040736, Louisville, Kentucky], based on public information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Nagel has worked for Merrill Lynch since October 23, 2009. Read below to discover more about the disclosures involving Nagel and what they may mean for investors. Merrill Lynch […]

September 13, 2025
Randall McGill Tied To Ausdal Financial Partners Investor Complaint About Unsuitable Investments

Investors apparently complained about securities broker Randall Earl McGill [CRD: 1309727, Homer Glen, Illinois], based on publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, McGill has worked for Ausdal Financial Partners Inc. since June 9, 2015, and was also registered as an investment adviser with the same firm in Davenport, Iowa, […]

September 12, 2025
Stanley Cooper At Center Of RBC Capital Markets Client’s Breach Of Fiduciary Duty Claim

Investors potentially experienced sales practice violations due to securities broker Stanley Morrison Cooper (also known as Stan Cooper) [CRD: 1667427, Fresno, California], according to disclosures on FINRA BrokerCheck. Evidently, Stanley Cooper worked for RBC Capital Markets LLC from June 30, 2003, to January 18, 2023. Keep reading to learn more about Stanley Cooper’s disclosures. RBC […]

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