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December 8, 2021
Sean Parikh Fined, Targeted In Aegis Client Disputes

Broker Sean Parikh Fined For Excessive Trading, Faces Aegis Client Disputes Alleging Unsuitability Soreide Law Group comes to you with an update regarding the FINRA BrokerCheck disclosures relating to Aegis Capital Corp securities broker Kishan Parikh (“Sean Parikh”) (CRD#: 5506554, New York, New York). It appears that FINRA suspended Parikh as a securities broker between […]

December 7, 2021
Marc Lippman Expelled, Faces Investor Disputes

Broker Marc Lippman (Folger Nolan) Barred By FINRA, Involved In Investor Dispute Alleging Breach Of Fiduciary Duty Soreide Law Group provides you with important information relating to securities broker Marc Romeyn Lippman (CRD#: 1575995, Washington, DC). Specifically, FINRA barred Lippman on June 17, 2021, to resolve allegations of his unauthorized transactions in customer accounts and […]

December 7, 2021
Jason Poff Sanctioned, Involved In LPL Client Dispute

Securities Broker Jason Poff Sanctioned By FINRA, Accused Of Sales Practice Violations By LPL And Chase Clients Financial Industry Regulatory Authority (FINRA) BrokerCheck, which houses important information about securities brokers, contains new disclosures regarding securities broker Jason Howell Poff (CRD#: 4078570, Houston, Texas). Specifically, FINRA issued Poff a fine and suspension for alleging engaging in […]

December 5, 2021
Brian Radoo Barred, Involved In Investor Disputes

FINRA Bars Securities Broker Brian Radoo, And Investors File Disputes About Him The Financial Industry Regulatory Authority (FINRA) contains important regulatory sanctions and client disputes involving securities broker Brian Radoo (CRD#: 2558458, Tucson, Arizona). It appears on BrokerCheck that FINRA barred Radoo as a securities broker in December 2020. Six investors filed disputes alleging sales […]

November 29, 2021
Adam Summers Out As Stifel Nicolaus Broker

Securities Broker Adam Summers Terminated By Stifel Nicolaus, Referenced In Investor Dispute Soreide Law Group provides you with an update on securities broker Adam Petersen Summers (CRD#: 5587343, Frankfort, Illinois). It appears on Financial Industry Regulatory Authority (FINRA) BrokerCheck that Summers worked for securities firms Wells Fargo Clearing Services LLC (October 2010 to January 2021), […]

November 27, 2021
Mark Senofonte Facing Cetera Investors’ REIT Disputes

Cetera Investment Services Clients Allege Unsuitable REITs By Mark Senofonte Financial Industry Regulatory Authority (FINRA) BrokerCheck shows that seven investors filed disputes about securities broker Mark Angelo Senofonte (CRD#: 2038108, Doylestown, Pennsylvania). These disputes mainly concern Senofonte’s actions at Cetera Investment Services, where Senofonte worked as a securities broker from February 2007 to August 2021. […]

November 27, 2021
Mike Farrell Facing Aegis Investor Suitability Disputes

Securities Broker Mike Farrell (Aegis Capital Corp) Accused Of Sales Practice Violations The Financial Industry Regulatory Authority (FINRA) has new disclosures on BrokerCheck regarding securities broker Michael James Farrell (“Mike Farrell”) (CRD#: 2282842, Red Bank, New Jersey). Namely, Farrell, who worked as a securities broker for Aegis Capital Corp from August 2016 to May 2019, […]

November 26, 2021
Richard Martin In Ameriprise Investor Disputes

Ameriprise Financial Clients Allege Sales Practice Violations By Richard Martin Soreide Law Group is investigating potential disputes to bring on behalf of investors against securities broker Richard Paul Martin (CRD#: 1536729, Goshen, New York). Evidently, Martin joined Ameriprise Financial Services in September 1986 as a securities broker. He became a financial advisor in January 2007. […]

November 26, 2021
Jason Seale Sanctioned, Facing Investor Disputes

FINRA, Investors Allege Misconduct By American Wealth Management Securities Broker Jason Seale The Financial Industry Regulatory Authority (FINRA) reportedly issued securities broker Jason Lee Seale III (CRD#: 1874548, Novato, California) a suspension and fine for allegedly making discretionary trades in four client accounts at American Wealth Management Inc. In addition, five investors filed disputes about […]

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