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May 25, 2022
Mirsad Muharemovic Involved In Arive Investor Dispute

Broker Mirsad Muharemovic Faces Arive Investor Dispute About Alleged Unsuitable Trading FINRA BrokerCheck indicates that investors alleged sales practice violations involving securities broker Mirsad A. Muharemovic “Mirso Muharemovic” (CRD#: 3122589, Staten Island, New York) and that those violations resulted in damages. Particularly, Muharemovic, who worked for securities firms Arive Capital Markets (his employer since June […]

May 20, 2022
Dudley Stephens Barred As Securities Broker

Broker Dudley Stephens Sanctioned By FINRA, Involved In An Investor Dispute Soreide Law Group is reviewing investor complaints concerning securities broker Dudley Franklin Stephens “Stephen Franklin Dudley” (CRD#: 4119268, New York, New York), as disclosed on FINRA BrokerCheck. It appears that Stephens worked for Coastal Equities (2016 to 2018) and Prospera Financial Services (2014 to […]

May 12, 2022
Gerardo Castillo Involved In Wells Fargo Investor Dispute

Gerardo Castillo Facing Investment Disputes Involving Wells Fargo, Citigroup Clients Soreide Law Group is examining investor disputes concerning securities broker Gerardo Ivan Castillo (CRD#: 2886319, Miami, Florida), as disclosed on FINRA BrokerCheck. Notably, Castillo was a securities broker and financial advisor at Wells Fargo Clearing Services (2010 to 2018). He also worked for Citigroup Global […]

April 3, 2022
Michael Capolongo Involved In Investor Disputes

Securities Broker Michael Capolongo Involved In Worden, Laidlaw Investor Complaints Soreide Law Group provides you with an update in regard to the investment disputes involving securities broker Michael Philip Capolongo (CRD#: 5702165, Hauppauge, New York). It appears that three investors disputed Capolongo’s sales practices. Although Capolongo currently works for Network 1 Financial Securities, the investment […]

March 8, 2022
Carter Mansbach In National Securities Corp Disputes

National Securities Corp Clients Allege Misrepresentation And Excessive Trading, According To Disputes About Carter Mansbach Financial Industry Regulatory Authority (“FINRA”) BrokerCheck contains new information regarding securities broker Carter David Mansbach (CRD#: 2275878, New York, New York). Notably, two investors filed disputes regarding the securities broker. Evidently, these disputes relate to Mansbach’s actions when employed by […]

December 6, 2021
Elias Hakimian Fined, Involved In LPL Investor Dispute

Broker Elias Hakimian (LPL Financial) Fined For Borrowing, Accused Of Churning By Investor The Financial Industry Regulatory Authority (FINRA) reportedly issued a three-month suspension to Elias Moses Hakimian (CRD#: 4404048, Seal Beach, California) as a securities broker and fined him $5,000 for allegedly borrowing from a client of LPL Financial. In addition, an investor filed […]

December 5, 2021
Gordon Bryan (Wells Fargo) Suspended By FINRA

Broker Gordon Bryan (Wells Fargo) Suspended By FINRA, Accused Of Excessive Trading Soreide Law Group discusses BrokerCheck disclosures relating to securities broker Gordon Leonard Bryan (CRD#: 1292315, Terre Haute, Indiana). Notably, FINRA issued Bryan a two-month suspension and a $5,000 fine to resolve allegations that he engaged in an undisclosed outside business activity. In addition, […]

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 […]

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