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July 7, 2022
Jessica Hall In BBVA Client Disputes

Broker Jessica Hall Involved In BBVA Investor Disputes Concerning Annuities Soreide Law Group talks about the FINRA BrokerCheck disclosures on securities broker Jessica Wasserman Hall (CRD#: 4879088, Hoover, Alabama). Evidently, Hall worked as a PNC Managed Account Solutions financial advisor from 2010 to 2021. She also worked as a BBVA Securities broker from 2013 to […]

July 7, 2022
Peter Budd In Benjamin F. Edwards Client Disputes

Benjamin F. Edwards Clients File Disputes About Broker Peter Budd Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker Peter Charlton Budd aka “Jay Budd” (CRD#: 1337006, Morristown, New Jersey). Notably, Budd discloses information about investor disputes on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Budd was a […]

July 7, 2022
William Ornstein In GMS Client Investment Disputes

Clients Of GMS Group Bring Investment Disputes About Broker William Ornstein Soreide Law Group updates you concerning FINRA BrokerCheck disclosures on William Martin Ornstein (CRD#: 500470, Boca Raton, Florida). It appears that the disclosures involving Ornstein concern his employment at securities firm GMS Group, where he was a broker from October 2001 to December 2021. […]

July 6, 2022
Danny Chancellor In First Allied Investor Disputes

Investors Bring Disputes About Securities Broker Danny Chancellor BrokerCheck contains important information regarding securities broker William Danny Chancellor “Danny Chancellor” (CRD#: 1277838, Ridgeland, Mississippi). It appears that the disclosures involving Chancellor concern his employment at Cambridge Investment Research (his employer from 2009 to 2012) and First Allied Securities Inc. (his employer from 2012 to 2017). […]

July 5, 2022
Neil Stanley Kaplan In Morgan Stanley Client Disputes

Clients Of Morgan Stanley Allege Excessive, Unsuitable Trading By Neil Kaplan Soreide Law Group comes to you with new information relating to the FINRA BrokerCheck disclosures on securities broker Neil Stanley Kaplan (CRD#: 1615516, Bethesda, Maryland). Particularly, Kaplan worked as a Morgan Stanley securities broker from 2009 to 2017. Here is a brief summary of […]

July 5, 2022
Lynn Faust Sanctioned, Involved In Investor Dispute

Raymond James Client Disputes Involve Lynn Faust The Financial Industry Regulatory Authority (FINRA) BrokerCheck contains important disclosures concerning securities broker Lynn Cooper Faust aka Donna Lynn Cooper (CRD#: 729012, Greenville, South Carolina). Specifically, Faust received FINRA sanctions over her alleged unsuitable trading of UITs in Raymond James client accounts. Not only that but Raymond James […]

June 25, 2022
Chris Bond Discloses FINRA Sanctions, Investor Disputes

FINRA Suspends Broker Chris Bond, And An Investor Files A Dispute About Him FINRA BrokerCheck indicates that investors alleged sales practice violations involving securities broker Christopher Edward Bond “Chris Bond” (CRD#: 4658534, Melville, New York) and that those violations resulted in damages. Particularly, Bond, who has been with National Securities Corporation since 2004 and National […]

June 7, 2022
Donald Durando Involved In PHX Financial Investor Dispute

PHX Client Alleges Unsuitable Investments Involving Donald Durando The Financial Industry Regulatory Authority (FINRA) contains important disclosures in regard to securities broker Donald Angelo Durando (CRD#: 5509340, Hauppauge, New York). Namely, Durando, who worked for securities firms John Thomas Financial and PHX Financial Inc. (2014 to present), is involved in investor disputes. Here’s a closer […]

June 7, 2022
Bill Burks Facing Centaurus Financial Investor Disputes

Investors Allege Sales Practice Violations In Disputes About Cetera Financial, Bill Burks FINRA BrokerCheck contains important investor information relating to securities broker William Charles Burks “Bill Burks” (CRD#: 2944992, Flower Mound, Texas). Evidently, Burks works at Centaurus Financial Inc. as both a financial advisor (2011 to present) and securities broker (2000 to present). It appears […]

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