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January 20, 2023
Maryland Issues Sanctions To Miguel Murillo

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Miguel Angel Murillo (also known as Michael Murillo) (CRD:  4875997, New York, NY). Not only has Maryland sanctioned Murillo, but investors disputed the sales practices of the securities broker. However, Murillo denies the allegations. Read on to learn more about the allegations against […]

January 19, 2023
Investors File Disputes About Daniel Mackle

Investors have come forward with complaints about securities broker Daniel Mackle (also known as Daniel Joseph Mackle Sr.) (CRD:  2239531, Hackensack, NJ). Evidently, the securities broker, who worked for Garden State Securities Inc., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Garden State Securities Inc. clients allege that Mackle made unsuitable recommendations, […]

January 17, 2023
FINRA Issues Sanctions To Russ Kory

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Russ Kory (CRD:  5901185, White Plains, NY). Not only has FINRA sanctioned Kory for unsuitable recommendations, but investors disputed the sales practices of the securities broker. However, Kory denies the allegations. Read on to learn more about the allegations against Kory. Russ Kory […]

January 12, 2023
Ryan Fleming Discloses Allegations Of Misrepresentation

Investors have come forward with complaints about securities broker Ryan Thomas Fleming (CRD:  4378425, Bellevue, WA). Evidently, the securities broker, who worked for Hornor Townsend Kent LLC, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Hornor Townsend Kent LLC clients allege that Fleming made misrepresentations and made unsuitable recommendations. For more on […]

January 11, 2023
Michael Desando Discloses Allegations Of Excessive Trading

Soreide Law Group is investigating possible investor claims against securities broker Michael Scott Desando (CRD:  1849321, Red Bank, NJ). Evidently, FINRA sanctioned the securities broker, who worked for Network 1 Financial Securities Inc. Allegedly, Desando engaged in excessive trading. Here is a brief summary of FINRA’s allegations against Desando. FINRA Issues Sanctions To Michael Desando […]

January 7, 2023
James Baroutas Discloses Allegations Of Unauthorized Trading

Investors have come forward with complaints about securities broker James Baroutas (CRD:  1252613, New York, NY). Evidently, the securities broker, who worked for B. Riley Wealth Management, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, B. Riley Wealth Management clients allege that Baroutas engaged in unauthorized trading. For more on these disclosures […]

December 30, 2022
FINRA Sanctions Eric Willer

Soreide Law Group is investigating possible investor claims against securities broker Eric Willer [CRD: 2263899, Irving, Texas]. Notably, FINRA sanctioned the securities broker, who worked for Fusion Analytics Securities LLC. Allegedly, Willer made unsuitable recommendations. Here is a brief summary of FINRA’s allegations against Willer. FINRA Sanctions Fusion Analytics Securities LLC Securities Broker For Unsuitable […]

December 29, 2022
Investors File Disputes About Clara Tang

Investors have come forward with complaints about securities broker Clara Chen Tang [CRD: 4852979, Cupertino, California]. Evidently, the securities broker, who worked for Cetera Investment Services LLC, disclosed client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Cetera Investment Services LLC clients allege unsuitable recommendations, breach of fiduciary duty, among other things. For more […]

December 17, 2022
James Lunsford Disclosed Allegations Of Breach Of Fiduciary Duty

Investors have come forward with complaints about securities broker James Bernis Lunsford (also known as Jim Lunsford) [CRD: 2222307, Sonoma, California]. Evidently, the securities broker, who worked for Mid Atlantic Capital Corporation, disclosed client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Mid Atlantic Capital Corporation clients allege breach of fiduciary duty, misrepresentation, among […]

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