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September 5, 2021
Gregory Lewis Faces FINRA Sanctions Over StockKings

FINRA's Complaint Alleges Gregory Lewis' Misconduct Concerning StockKings The Financial Industry Regulatory Authority (FINRA) Department of Enforcement filed a complaint against securities broker Gregory Antonius Lewis (CRD#: 2793976, St. Petersburg, Florida). Specifically, the securities broker, who worked for StockKings Capital LLC since June 2013, is accused of misconduct relating to private securities offerings. Soreide Law […]

March 29, 2020
GARY HAMMOND Private Securities Disputes

MSI Financial Clients File Disputes About Gary Hammond Investors are alleging losses caused by securities broker Gary Wayne Hammond [CRD#: 2660432, Charlotte, North Carolina]. Evidently, MSI Financial Services, who Hammond worked for from 2000 to 2017, disaffiliated with him for allegedly selling away and [mis]handling a client complaint. Most significantly, Hammond is involved in 10 […]

April 17, 2019
ATTENTION INVESTORS! FINRA Fines Ameriprise Broker COREY MIREAU

ATTENTION INVESTORS! FINRA Fines, Suspends Ameriprise Broker COREY MIREAU The Financial Industry Regulatory Authority (“FINRA”) announced that Ameriprise Financial Services, Inc. general securities representative Corey Lee Mireau (CRD#: 3046777, Eden Prairie, Minnesota) has been issued a $15,000.00 fine and two year suspension for borrowing money from customers; participating in a private securities transaction and outside […]

February 28, 2019
Lincoln Financial Advisors Brokers Ivy Menchel, Adam Gellis Accused Of Investment-Related Misconduct

Lincoln Financial Advisors Brokers Ivy Menchel, Adam Gellis Accused Of Investment-Related Misconduct Lincoln Financial Advisors Corporation (CRD#: 3978, Fort Wayne, Indiana) is a brokerage firm and investment advisory firm regulated by Financial Industry Regulatory Authority (“FINRA”) and Securities and Exchange Commission (“SEC”), respectfully. Since its establishment, Lincoln reports fourteen regulatory actions and six arbitrations. Those […]

February 20, 2019
LPL Financial Disaffiliates With Mark Thomas Lamkin For Private Securities Transactions

LPL Financial Disaffiliates With Mark Thomas Lamkin For Private Securities Transactions Mark Thomas Lamkin (CRD#: 2121510, Louisville, Kentucky) is a prior LPL Financial LLC securities representative. Apparently, Lamkin worked in the firm’s Louisville, Kentucky offices between February 9, 2001 and September 14, 2018. Notably, LPL Financial LLC discharged Lamkin for engaging in misconduct that could […]

August 28, 2018
Did You Experience Losses with SCOTT KOZAK Formerly with CETERA ADVISORS?

SCOTT PATRICK KOZAK (SCOTT KOZAK) CRD#: 1272583, according to FINRA’s BrokerCheck, was discharged from Cetera Advisors LLC of Highlands Ranch, Colorado on July 23, 2018 following allegations of “Violating firm policy prohibiting Personal Securities Transactions.”  Scott Kozak worked as a registered representative with Cetera Advisors LLC in Highlands Ranch, Colorado, from 2001 until he was […]

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