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November 22, 2021
Roy Failla Fined, Facing Investor Disputes

New Jersey Securities Bureau Fines Roy Failla Over Alleged Excessive Trading Soreide Law Group comes to you with an update regarding the securities broker Roy Joseph Failla (CRD#: 2786551, Staten Island, New York). New Jersey Bureau of Securities issued Failla a suspension as a stockbroker and fined him $15,000. Also, three investors filed disputes about […]

November 17, 2021
Jeffrey Baber Facing First Standard Investor Disputes

Jeffrey Baber (First Standard Financial Company) Involved In Investor Disputes Soreide Law Group is reviewing potential investor disputes concerning securities broker Jeffrey Allen Baber (CRD#: 1232485, Boca Raton, Florida). Investors allege that Baber made sales practice violations when he worked for National Securities Corporation and First Standard Financial Company. Let’s take a closer look at […]

October 25, 2021
Ryan Ott Suspended, Involved In Disputes

Equitable Advisors' Ryan Ott Suspended, Facing Investor Disputes Soreide Law Group has come across some important information relating to Ryan James Ott (CRD#: 6173815, Woodbridge, New Jersey). Notably, FINRA suspended Ott on August 23, 2021. It will potentially bar him by November 1, 2021, if he fails to either cooperate with its inquiry or get […]

October 8, 2021
Robert Calamunci’s Client Alleges Unsuitability

Wynston Hill Investor Takes Issue With Robert Calamunci's Sales Practices Financial Industry Regulatory Authority (FINRA) BrokerCheck shows that a Wynston Hill Capital LLC client took aim at the sales practices of securities broker Robert Joseph Calamunci Sr. (CRD#: 1618899, Bronx, New York). In addition, FINRA and the National Association of Securities Dealers (NASD) both sanctioned […]

August 31, 2021
Mitchell Silverman Focus Of Raymond James Investor Disputes

Securities Broker Mitchell Silverman Facing Disputes From Raymond James Clients Soreide Law Group has new information to share with you in regard to securities broker Mitchell Louis Silverman (CRD#: 500504, Boca Raton, Florida). Notably, the Financial Industry Regulatory Authority (FINRA) shows that six investors filed investment disputes about the securities broker, who worked for securities […]

July 19, 2021
Anthony Dacruz In Morgan Stanley, RBC Client Disputes

Investors File Disputes About Morgan Stanley, RBC Securities Broker Anthony Dacruz Soreide Law Group provides you with new information regarding securities broker Anthony Edward Dacruz (CRD#: 1259435, New York, New York). According to FINRA BrokerCheck, Dacruz, who is a Morgan Stanley financial advisor and securities broker (2011 to present), is involved in three investor disputes […]

July 13, 2021
Matthew Platnico In Allied Millennial Investors’ Suitability Disputes

Suitability The Focus Of Allied Millennial Partners Investor's Dispute Involving Broker Matthew Platnico Soreide Law Group comes to you with an update regarding investment disputes involving securities broker Matthew Eric Platnico (CRD#: 2102086, New York, New York). It appears that Platnico worked for Oppenheimer as financial advisor and securities broker. Now, he works for Millennial […]

July 2, 2021
Thomas Laws Targeted In Avantax Clients' Disputes

Broker Thomas Laws Involved In Avantax Investors' Complaints Another investor appears to have disputed the sales practices of securities broker Thomas H. Laws (CRD#: 4494448, Silver City, New Mexico). The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck report on Laws shows that two investors disputed his sales practices. Not only that, but both SEC and FINRA […]

July 2, 2021
Jay Weiser Barred, Involved In Investor Disputes

Securities Broker Jay Weiser (Des Pain Financial) Involved In Investment Disputes The Financial Industry Regulatory Authority (“FINRA”) reports new important information in regard to securities broker Jay R. Weiser (CRD#: 1511042, Collinsville, Illinois). Notably, the securities broker, who worked for Des Pain Financial Corporation from June 2000 to June 2018, is involved in two investor […]

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