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August 25, 2022
Joseph Sterling, Geneos Wealth Management Involved In Investor Disputes

The Financial Industry Regulatory Authority (FINRA) reports client disputes involving securities broker Joseph Harold Sterling (CRD#: 1101378, Apple Valley, Minnesota). Three of those disputes concern Sterling's actions while he worked for Geneos Wealth Management Inc., and one of the disputes concerns Sterling's actions with SunAmerica Securities Inc. Let's take a closer look at the allegations […]

August 18, 2022
Christopher Watkins Involved In LPL Financial Investor Disputes

Soreide Law Group is reviewing potential investor disputes concerning securities broker Christopher Neil Watkins (CRD#: 4456445, Louisville, Kentucky). Namely, Watkins joined LPL Financial in 2011 as both a financial advisor and securities broker. He joined Silver Oaks Securities in December 2018 and Magnate Advisory Services in March 2019. Notably, LPL Financial disaffiliated with Watkins in […]

August 16, 2022
Robert Hoffmann Barred And Involved In Investor Disputes

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows important information about securities broker Robert Hayes Hoffmann (CRD#: 4008798, Indianapolis, Indiana). Evidently, Hoffmann worked for securities firms Robert W. Baird & Co. Incorporated, Northwestern Mutual Investment Services, LLC, Woodbury Financial Services, Inc., and Thurston, Springer, Miller, Herd & Titak, Inc. Notably, at least 4 investors complained about […]

July 7, 2022
Barry Garapedian Facing Morgan Stanley Investor Disputes

Broker Barry Garapedian (Morgan Stanley) Faces Investor Disputes The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Barry Lee Garapedian (CRD#: 1039257, Westlake Village, California). It appears that the disclosures involving Garapedian mainly concern his employment at Morgan Stanley. He worked at the firm’s CA offices from 2009 to 2021. […]

July 7, 2022
Robert Klein In JP Morgan Client Disputes

JP Morgan Clients Bring Disputes About Securities Broker Robert Klein FINRA BrokerCheck indicates investor disputes concerning securities broker Robert Owen Klein (CRD#: 1254422, Newport Beach, California). Evidently, Klein worked as a JP Morgan Securities broker from 1995 to 2019. Take a look at the following summary of the allegations against this securities broker. Also keep […]

July 7, 2022
Trevor Gordon Barred, Involved In Sandlapper Client Disputes

Sandlapper's Trevor Gordon Is Barred By FINRA And Involved In Client Disputes FINRA BrokerCheck provides important information regarding Trevor Lee Gordon (CRD#: 2195122, Greenville, SC). Evidently, Gordon worked at Sandlapper Securities from 2006 to 2020. He faces allegations of unsuitable trading and breach of fiduciary duty as reported on BrokerCheck. Not only that, but FINRA […]

July 7, 2022
Kirby McDonald In Cetera, QA3 Client Disputes

Broker Kirby McDonald (Cetera, QA3) Facing Client Disputes About Suitability Soreide Law Group brings you up to speed on the FINRA BrokerCheck disclosures on securities broker Kirby Spencer McDonald (CRD#: 1622995, Omaha, Nebraska). Evidently, McDonald worked as a QA3 Financial Corp securities broker. Subsequently, he joined Cetera Advisors as both a securities broker and financial […]

July 7, 2022
Donald Sperring Faces Sanctions, Investor Disputes

Securities Broker Donald Sperring (AXA Advisors, Equitable Advisors) Barred, Involved In Client Disputes The Financial Industry Regulatory Authority (FINRA) contains important information on securities broker Donald George Sperring (CRD#: 2462982, Pittsburgh, Pennsylvania). Specifically, BrokerCheck shows that Sperring is involved in three investor disputes. Not only that, but he also received a FINRA bar (expulsion) in […]

July 7, 2022
Scott Shaw In Ameriprise Client Disputes

Ameriprise Financial Clients Bring Disputes Concerning Broker Scott Shaw FINRA provides important information regarding securities broker Scott Ari Shaw (CRD#: 4406793, Philadelphia, Pennsylvania). It appears that the disclosures involving Shaw concern Ameriprise Financial Services Inc. (his employer from 2001 to 2018). Shaw was both a financial advisor representative and a securities broker with Ameriprise Financial […]

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