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September 29, 2023
David A. Noyes Investors Complain About James Allen

Soreide Law Group is conducting an investigation into potential claims on behalf of investors who may have suffered financial losses due to the actions of securities broker James Arthur Allen (also known as Jim Allen) (CRD#: 2287824, Chicago, Illinois). Allen has had affiliations with several employers during his career, most recently with Oppenheimer & Co. […]

October 6, 2022
Scott Wolfrum Allegedly Made Unsuitable Transactions

David A. Noyes Investors have come forward with complaints about securities broker Scott Thomas Wolfrum [CRD #: 2187550, Indianapolis, IN]. Wolfrum worked for (1) Huntleigh Securities Corporation from 2018-2019; (2) David Noyes & Company from 2013-2018; and Wells Fargo Advisors from 2011-2013. Here’s more on the investor disputes reported on Financial Industry Regulatory Authority (FINRA) […]

August 21, 2021
Scott Wolfrum Faces Noyes Investor Dispute, SEC Sanctions

Securities Broker Scott Wolfrum (David A. Noyes) Involved In Investor Dispute, Sanctioned By SEC Soreide Law Group has new information to report concerning securities broker Scott Thomas Wolfrum (CRD#: 2187550, Indianapolis, Indiana). Evidently, the securities broker was associated with Wells Fargo Advisors (2011 to 2013), David A. Noyes Company (2013 to 2018), and Huntleigh Securities […]

February 15, 2021
Jim Allen Involved in Suitability Disputes

Securities Broker Jim Allen Involved In Suitability Disputes Soreide Law Group is reviewing whether to bring possible investor lawsuits against James “Jim” Allen (CRD#: 2287824, Chicago, Illinois). The securities broker worked for Citigroup Global Markets (2007 to 2017), Sanctuary Securities (2017 to 2020) and Oppenheimer (2020 – present). Evidently, two investors brought investment disputes about […]

June 23, 2020
JAMES KIRCHNER Private Placement Disputes

Broker James Kirchner Allegedly Sells Unsuitable Investments Soreide Law Group is reviewing possible investor claims of sales practice violations by broker James R. Kirchner (CRD#: 2852217, Chicago, Illinois). Evidently, seven investors brought claims about the broker, who worked for firms David A. Noyes & Company (2014 to 2018), IFS Securities (2019) and Cabot Lodge Securities […]

April 25, 2019
INVESTOR ALERT: FINRA Bars Coastal Equities’ SAM AZIZ Because Of Excessive Trading Investigation

INVESTOR ALERT: FINRA Bars Coastal Equities’ SAM AZIZ Because Of Excessive Trading Investigation The Financial Industry Regulatory Authority (“FINRA”) barred David A. Noyes broker Sam Aziz (CRD#: 1721932, Dublin, Ohio) from the securities industry. Evidently, Aziz executed a Letter of Acceptance, Waiver and Consent (“AWC”) #2017052325701 on March 18, 2019, which FINRA accepted March 27, […]

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