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September 16, 2022
FINRA Sanctions Paul Koch

Soreide Law Group is investigating possible investor claims against securities broker Paul Ronald Koch [CRD#: 1777599, Wayzata, Minnesota]. Evidently, FINRA sanctioned the securities broker, who worked for UBS Financial Services. Notably, FINRA's accusations against the securities broker include failure to cooperate in an investigation. Also, investors allege sales practice violations by Koch. Here is a […]

December 11, 2021
Anthony Hall Gets Barred By FINRA

FINRA Bars Edward Jones Securities Broker Anthony Hall Because Of Alleged Investigation Misconduct Notably, the Financial Industry Regulatory Authority (FINRA) barred securities broker Anthony Glenn Hall (CRD#: 5546165, Dayton, Texas) for not cooperating with FINRA investigators. Not only that, but BrokerCheck shows that Edward Jones, who employed Hall from 2008 to 2019, disaffiliated with him […]

October 1, 2021
Robert Barnard Barred By FINRA

Securities Broker Robert Barnard Is Barred By FINRA And Is Facing Disputes From Principal Securities Clients Soreide Law Group comes to you with important information regarding securities broker and financial advisor Robert Barnard (CRD#: 5504882, Las Cruces, New Mexico). Notably, the Financial Industry Regulatory Authority (FINRA) barred Barnard to settle allegations that he violated FINRA […]

September 4, 2021
Kevin Nevin Barred, Involved In Sandlapper Investor Dispute

Sandlapper Securities Broker Kevin Nevin Barred, Facing Investor Disputes Soreide Law Group wants to share some important information with you in regard to securities broker Kevin Mark Nevin (CRD#: 2460059, Edina, Minnesota). Evidently, Nevin worked for firms Sandlapper Securities (2015 to 2019) and Dempsey Lord Smith LLC (2019 to 2021). FINRA BrokerCheck shows that Nevin […]

August 29, 2021
Dustin Blount Barred, Involved In MML Investor Dispute

Broker Dustin Blount Barred By FINRA And Involved In An MML Investor's Dispute Soreide Law Group has important information to share with you regarding securities broker Dustin Michael Blount (CRD#: 5267680, Vicksburg, Mississippi). Specifically, it appears on BrokerCheck that in addition to him being discharged for alleged misconduct, the broker is the subject of criminal […]

August 9, 2021
Matthew White Faces Regulatory Sanctions

Regulator Issues Sanctions To MassMutual Broker Matthew White Soreide Law Group is evaluating possible investor disputes concerning Matthew Leon White (CRD#: 5365185, Little Rock, Arkansas). Evidently, the securities broker worked for securities firms Northwestern Mutual investment Services (January 2009 to June 2015) and MML Investors Services “MassMutual” (June 2015 to June 2018). Notably, he is […]

June 6, 2021
Nelson Polun Barred By FINRA Action

Wells Fargo's Nelson Polun Is Barred By FINRA Soreide Law Group has come across the FINRA BrokerCheck profile of securities broker Nelson Michael Polun (CRD#: 365420, Bel Air, Maryland), and it shows some concerning information. Specifically, FINRA removed Polun as a securities broker per a February 2021 bar. Not only that, but investors disputed his […]

December 30, 2020
Joe Hede Charged By SEC Over Belize Fund

Broker Joe Hede Charged By SEC In Connection With Sham Belize Fund Investments Investor Alert! The United States Securities and Exchange Commission charged securities broker Minish Joe Hede (CRD: 2389098, New York, New York) with violating securities laws on what the Commission claims to be a sham investment in Belize Fund. Not only that, but […]

December 14, 2020
Alan New Sanctioned, Targeted In Woodbridge Lawsuits

Broker Alan New Is Barred By FINRA, Targeted In SEC Lawsuit Over Woodbridge Sales The Financial Industry Regulatory Authority (“FINRA”) reportedly barred securities broker Alan Harold New (CRD#: 2892508, Fort Wayne, Indiana) in April 2020. This means that New, who last worked for NYLife Securities, cannot be a securities broker for all FINRA member securities […]

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