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April 3, 2025
Teddy Ezzell Facing Client Disputes Concerning Breach of Fiduciary Duty

Investors potentially experienced losses because of securities broker Teddy R. Ezzell III [CRD: 1527524, Fort Collins, Colorado], according to disclosures on FINRA BrokerCheck. Ezzell has worked for LPL Financial LLC since December 15, 2014, and Western Wealth Management LLC since June 22, 2016. Read on to learn more about the disclosures concerning Ezzell and how […]

March 31, 2025
Shadi Barakat Facing Client Disputes Concerning Excessive Trading

Investors potentially experienced losses because of securities broker Shadi Taysir Barakat (also known as Sean Barakat) [CRD: 5031281, New York, New York], according to disclosures on FINRA BrokerCheck. Specifically, Shadi Barakat worked for Alexander Capital, L.P. in Red Bank, New Jersey, from October 21, 2022, to October 24, 2022, and Spartan Capital Securities LLC in […]

March 31, 2025
Sanford Simmons Barred by FINRA for Refusing Testimony

Investors reportedly may have incurred losses due to securities broker Sanford Graham Simmons (also known as Sandy Simmons) [CRD: 1018907, Castle Rock, Colorado], according to disclosures on FINRA BrokerCheck. According to the regulator, Sanford Simmons worked for Saxony Securities Inc. from January 3, 2023, to October 2, 2024. Previously, he was employed at Patrick Capital […]

March 28, 2025
Randall McGill Facing Client Disputes Concerning Investment Losses

Investors reportedly may have incurred losses due to securities broker Randall Earl McGill [CRD: 1309727, Homer Glen, Illinois], according to disclosures on FINRA BrokerCheck. According to the regulator, McGill has worked for Ausdal Financial Partners Inc. since June 9, 2015. Prior to this, he was registered with the same firm in Davenport, Iowa, as an […]

March 27, 2025
Patrick Hobert Facing Investor Disputes Over Unsuitable Advice

Investors potentially experienced losses due to securities broker Patrick Roland Hobert [CRD: 805680, Newport Beach, California], according to disclosures on FINRA BrokerCheck. According to the regulator, Patrick Hobert has worked for Centaurus Financial Inc. since July 9, 2007. Keep reading to learn more about the disclosures concerning this securities broker. Centaurus Financial Investor Accused Hobert […]

March 19, 2025
Deborah Anderson In Centaurus Investor Disputes Regarding Unsuitable Advice

Investors potentially experienced losses because of securities broker Deborah Sue Anderson (also known as Deborah Sue Beemer) [CRD: 1795405, San Diego, California], according to disclosures on FINRA BrokerCheck. According to the regulator, Anderson worked for LPL Financial LLC from June 5, 2020, to May 7, 2021, and for Centaurus Financial Inc. from April 17, 2006, […]

March 18, 2025
David Taddeo Facing Client Disputes Concerning Unsuitable Recommendations

Investors apparently complained about securities broker David John Taddeo [CRD: 1163829, La Mesa, California], according to disclosures on FINRA BrokerCheck. According to the regulator, Taddeo worked for LPL Financial LLC from September 26, 2000, to March 8, 2024. Keep reading to learn more about the disclosures related to David Taddeo. LPL Financial LLC Investor Accused […]

March 3, 2025
Joseph Jackson Faces Capital Investment Group Client Complaints Over GWG Holdings

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Joseph Dewey Jackson (also known as Joe Jackson, Joey Jackson) [CRD#: 2351290, Fayetteville, North Carolina]. With over 31 years of experience, Jackson has been affiliated with ten different firms, currently operating as a General Securities Principal and Investment Adviser Representative at Capital Investment Group, […]

February 23, 2025
Richard Rustic in Dispute Re: Breach of Fiduciary Duty at Commonwealth Financial

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Richard Jay Rustic (CRD#: 1128406, Bristol, Connecticut). Rustic has been registered with Commonwealth Financial Network since February 26, 2002. Previously, he was affiliated with First Investors Corporation from April 1983 to February 2002. Recent disclosures reveal concerns regarding Rustic's professional conduct, specifically allegations of […]

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