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June 27, 2026
Eugene Antosh Of Ameriprise Financial Services Barred By FINRA For Noncompliance

FINRA barred securities broker Eugene W. Antosh (also known as Geno Antosh) [CRD: 5450983, Portland, Connecticut], given the disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Eugene Antosh worked for Ameriprise Financial Services LLC from July 23, 2014, to September 16, 2025. See below to learn more about disclosures involving Eugene Antosh as reported on […]

June 25, 2026
John Polemis Of Park Avenue Securities Charged By FINRA With Unauthorized Trading

FINRA brought an enforcement action against securities broker John Demetrios Polemis (also known as John Dimitri Polemis) [CRD: 4270012, New York City, New York], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Polemis worked for Park Avenue Securities LLC from April 21, 2022, to March 1, 2024, and Stirlingshire Investments from March 18, […]

June 21, 2026
David Cox Of CreativeOne Wealth LLC Fined By Regulator For Borrowing From Investor

A Kansas regulator fined financial advisor David Gene Cox [CRD: 5518178, Overland Park, Kansas], and one or more investors complained about him, according to SEC Investment Adviser Public Disclosure. Notably, Cox was associated with Brookstone Capital Management LLC from April 10, 2008, to October 15, 2021, CreativeOne Wealth LLC from October 15, 2021, to May […]

June 16, 2026
James Martin Tied To Morgan Stanley Investor Complaint Re: Failure To Repay Client Funds

Investors apparently complained about securities broker James Francis Martin [CRD: 1218618, West Conshohocken, Pennsylvania], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Martin worked for Morgan Stanley from April 4, 2016, to December 2, 2022. See the following information to discover more about disclosures involving Martin and allegations reported on FINRA BrokerCheck. Martin […]

May 19, 2026
Mark Brosa Of Ameriprise Financial Services Barred By FINRA Following Suspension

Investors potentially incurred losses because of securities broker Mark Robert Brosa [CRD: 5481188, Lawrence, Kansas], given the public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Mark Brosa worked for Ameriprise Financial Services LLC from April 17, 2020, to March 22, 2024. Keep reading to learn more about the disclosures involving Mark Brosa. FINRA Sanctioned […]

April 15, 2026
Lyhen Fiallo Of PFS Investments Barred By FINRA For Refusal To Cooperate In Investigation

Financial Industry Regulatory Authority (FINRA) barred securities broker Lyhen Fiallo (also known as Lyhen Hernandez) [CRD: 4579582, Hialeah, Florida], based on public information located on FINRA BrokerCheck. Lyhen Fiallo worked for PFS Investments Inc. from April 24, 2020, to December 31, 2024. Investors are encouraged to continue reading to find out more about this broker’s […]

April 1, 2026
John Polemis Of Stirlingshire Investments Investigated By FINRA For Unauthorized Trading

Investors potentially experienced sales practice violations by securities broker John Demetrios Polemis (also known as John Dimitri Polemis and John Demitrios Polemis) [CRD: 4270012, New York City, New York], based on publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. John Polemis worked for Stirlingshire Investments from March 18, 2024, to September 5, […]

March 10, 2026
Michael Montalvo Connected To Raymond James Investor Dispute About Failure To Repay Loan

Investors apparently complained about securities broker Michael Montalvo [CRD: 4549103, Orlando, Florida], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Michael Montalvo worked for Cetera Investment Services LLC from March 25, 2019, to April 6, 2020, and Raymond James Associates Inc. from April 6, 2020, to June 23, 2025. Read on to learn […]

December 8, 2025
John Wilson Linked To Edward Jones Investor Complaints About Outside Investments

Investors have reportedly disputed the sales practices of securities broker John Charles Wilson II [CRD: 5974073, York, South Carolina], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Wilson worked for Edward Jones from October 21, 2011, to September 22, 2025. Keep reading to find out more about the […]

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