Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
August 27, 2021
Peter Ianace Facing Merrill Lynch Dispute

Merrill Lynch Client Files Dispute About Broker Peter Ianace's Recommendations The Financial Industry Regulatory Authority (FINRA) discloses new information through BrokerCheck as it relates to Peter Vincent Ianace (CRD#: 3238078, Plano, Texas). It appears that the securities broker, who worked for Merrill Lynch (2011 to 2019) and Wells Fargo Clearing Services (2019 to 2020), is […]

August 21, 2021
Scott Wolfrum Faces Noyes Investor Dispute, SEC Sanctions

Securities Broker Scott Wolfrum (David A. Noyes) Involved In Investor Dispute, Sanctioned By SEC Soreide Law Group has new information to report concerning securities broker Scott Thomas Wolfrum (CRD#: 2187550, Indianapolis, Indiana). Evidently, the securities broker was associated with Wells Fargo Advisors (2011 to 2013), David A. Noyes Company (2013 to 2018), and Huntleigh Securities […]

August 17, 2021
Allan Katz Faces Regulatory Action From FINRA

FINRA Sanctions Reported Against Securities Broker Allan Katz The Financial Industry Regulatory Authority (“FINRA”) contains new information about securities broker Allan Katz (CRD#: 2166004, Staten Island, New York). Specifically, FINRA issued Katz a fine and suspension to resolve allegations of his misuse of client signatures. Also, BrokerCheck shows that Royal Alliance Associates Inc. disaffiliated with […]

August 9, 2021
Vincent Villani Private Placement Disputes

Two National Securities Corporation Clients File Disputes About Vincent Villani's Private Placement Sales Soreide Law Group provides you with the following update regarding securities broker Vincent John Villani (CRD#: 4296670, New York, New York). Evidently, Villani worked for securities firms Joseph Gunnar Company LLC (2012 to 2014) and National Securities Corporation (2014 to present). Notably, […]

August 1, 2021
Mike Patatian REIT Suitability Dispute

Securities Broker Mike Patatian Involved In Investor Disputes, Facing Disciplinary Action Soreide Law Group provides you with the following update regarding securities broker Megurditch “Mike” Patatian (CRD#: 4047060, Charlotte, North Carolina). Specifically, the securities broker, who worked for Western International Securities Inc. from April 2013 to April 2020, faces a FINRA complaint containing accusations of […]

July 24, 2021
Al Westbrook Sanctioned, Facing Investor Dispute

Securities Broker Al Westbrook Receives Suspension, Fine From FINRA For Allegedly Selling Away Soreide Law Group provides you with the following update regarding securities broker John Albert “Al” Westbrook (CRD#: 1846059, McDonough, Georgia). Specifically, Westbrook, who worked for Center Street Securities (2014 to 2020), faced sanctions from FINRA for his alleged private securities transactions. In […]

July 24, 2021
Jeff Meyers Facing Cetera, JP Turner Investor Disputes

Investors File Disputes About Securities Broker Jeff Meyers The Financial Industry Regulatory Authority (“FINRA”) reports six disclosures on the BrokerCheck record of securities broker Jeffrey “Jeff” Gerard Meyers (CRD#: 2192759, Overland Park, Kansas). One of these disputes concerns Meyers’ sales practices at Cetera Advisor Networks, where he works as a securities broker since 2019. It […]

July 20, 2021
Gerald O'Halloran In Kovack Investor Disputes

Kovack Securities Investors Reportedly Dispute The Sales Practices Of Broker Gerald O'Halloran Soreide Law Group has new information to share with you in regard to securities broker Gerald James OHalloran (CRD#: 1056697, Punta Gorda, Florida). It appears that O’Halloran worked for a number of securities firms including Kovack Securities (2004 to 2018) and Union Capital […]

July 18, 2021
Douglas Keller Involved In Equitable Advisors Client Dispute

AXA Advisors, Equitable Advisors Clients Bring Complaints About Douglas Keller Soreide Law Group provides you with an update on the disclosures pertaining to securities broker Douglas Eugene Keller (CRD#: 1272529, Red Bank, New Jersey). Specifically, there are investor disputes and regulatory sanctions involving the securities broker, who worked for firms including AXA Advisors (2008 to […]

1 15 16 17 18 19 38
Contact us Nationwide USA
2401 E. Atlantic Blvd., Suite 305, Pompano Beach, FL 33062
Helping clients recover money across the USA
search
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved