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June 25, 2019
STEPHEN WOOD Investigated BY FINRA

STEPHEN WOOD Investigated BY FINRA The Financial Industry Regulatory Authority (“FINRA”) announced April 2, 2019 that it made a “preliminary determination” to recommend the Department of Enforcement discipline securities broker Stephen Wood (CRD#: 1308917, Warren, New Jersey). Evidently, Wood – a UBS Financial Services securities representative from August 12, 2013 to May 26, 2017 – […]

June 24, 2019
TIMOTHY WRIGHT Losses?

Timothy Wright Losses? Soreide Law Group is reviewing whether investors suffered losses due to possible sales practice violations by Columbus Advisory Group, Ltd. broker Timothy Wright (CRD#: 4714431, Wilmington, NC). Namely, at least one client brought a dispute in regard to Wright’s conduct. Here’s more on the disciplinary action which alleges Wright's churning, excessive trading […]

June 13, 2019
CURTIS ILE Issued Suspension By FINRA

CURTIS ILE Issued Suspension By FINRA The Financial industry Regulatory Authority (“FINRA”) announced that it has suspended Sigma Financial Corporation securities broker Curtis Ile (CRD#: 4009787, Mount Carmel, Illinois). Ile evidently mismarked order tickets, exercised discretion improperly, and failed to review information before making recommendations. The suspension, effective June 3, 2019 to December 2, 2019, […]

June 11, 2019
JAY AMBROSON Investor Complaints?

JAY AMBROSON Investor Complaints? The Financial industry Regulatory Authority (“FINRA”) BrokerCheck shows that investors disputed the sales practices of Gould, Ambroson & Associates President, Jay Ambroson (CRD#: 859012, Garden City, New York), whom the firm disaffiliated with in July 2018. Evidently, from June 1, 2018 to May 21, 2019, at least eight clients of his […]

June 1, 2019
MICHAEL BASTARDI Barred By FINRA

MICHAEL BASTARDI Barred By FINRA (INVESTOR ALERT!) The Financial Industry Regulatory Authority (“FINRA”) announced that it barred Securities America, Inc. securities broker Michael Bastardi (CRD#: 6015424, Warwick, NY). Evidently, in a Letter of Acceptance, Waiver, and Consent (“AWC”) #: 2018059770401 which Bastardi submitted on May 10, 2019, and FINRA accepted on May 24, 2019, Bastardi […]

March 23, 2019
INVESTOR WARNING! Allegations Against RBC Capital Brokers ANDREW LEONARD, ANTHONY DEMAIO, DAVID MCILROY, THOMAS MCCRACKEN

INVESTOR WARNING! Allegations Against RBC Capital Brokers ANDREW LEONARD, ANTHONY DEMAIO, DAVID MCILROY, THOMAS MCCRACKEN Andrew Stephen Leonard (CRD#: 5928927, Washington, District of Columbia) is a general securities representative of RBC Capital Markets. Evidently, Andrew Leonard joined the firm’s DC offices on August 22, 2012. Mainly, Andrew Leonard shows on his FINRA BrokerCheck report that […]

March 23, 2019
Investors Complain About Morgan Stanley Brokers Anthony Mampieri, James Willer, Thomas Srachta, Trent Ahlers

Investors Complain About Morgan Stanley Brokers Anthony Mampieri, James Willer, Thomas Srachta, Trent Ahlers Anthony Ralph Mampieri (CRD#: 1653703, Boca Raton, Florida) is a Morgan Stanley Smith Barney securities representative. Supposedly, on October 13, 2016, a customer of Morgan Stanley brought a customer dispute in regard to Anthony Mampieri’s sales practices. Allegedly, from 2011 to […]

March 22, 2019
INVESTOR ALERT! Customer Disputes Involving Robert W. Baird Brokers MARK FALCI, MICHAEL COLLINS

INVESTOR ALERT! Customer Disputes Involving Robert W. Baird Brokers MARK FALCI, MICHAEL COLLINS Soreide Law Group is investigating claims on behalf of those who have invested with Robert W. Baird & Co. incorporated (CRD#: 8158, Milwaukee, Wisconsin), which is a FINRA and SEC regulated brokerage firm and investment adviser firm doing business throughout the United […]

March 1, 2019
Soreide Law Group Investigating Claims Against Adam Marquardt

Soreide Law Group Investigating Possible Claims Against Adam Thomas Marquardt Soreide Law Group is investigating possible claims on behalf of those who invested with Adam Marquardt (CRD#: 5307192, Rochester, Minnesota), a securities representative who joined Wells Fargo Advisors Financial Network, LLC on April 23, 2010. Notably, Financial Industry Regulatory Authority (“FINRA”) reported that a customer […]

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