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January 11, 2012
Have You Invested in These Real Estate Equity/Mortgage Projects/Funds?

Soreide Law Group, PLLC,  is currently investigating the following investments. If your stock broker or financial advisor recommended any of the following investments, and you sustained a significant loss of your investment, call 888-760-6552 for a free consultation.  AgraShares Fund III, LLC Americap Distressed Real Estate Fund I Avere Medical Real Estate Fund I, LP […]

January 5, 2012
Lloyd V. Barriger, Monticello, New York Investment Adviser, Charged by SEC with Multi-Million Dollar Fraud

The Securities and Exchange Commission (SEC)  filed a civil injunctive action charging Monticello, New York investment adviser, Lloyd V. Barriger, registered with Barriger & Barriger Incorporated, with fraud in connection with two upstate New York real estate funds he managed – the Gaffken & Barriger Fund, LLC (the G&B Fund or the Fund), and Campus […]

December 23, 2011
Dawson James Securities, Inc., of Boca Raton, and Two Florida Reps Fined and Censured by FINRA

Dawson James Securities, Inc. (CRD® #130645, Boca Raton, Florida), Albert James Poliak (CRD #1270681, Registered Principal, Parkland, Florida), and Douglas Fulton Kaiser (CRD #1674570, Registered Principal, Deerfield Beach, Florida)   submitted Offers of Settlement in which the firm was censured and fined $90,000. Poliak, Dawson’s CEO, and Kaiser, who acted at times as both the […]

December 19, 2011
Jeffrey Rachlin Fined and Sanctioned by FINRA

Jeffrey Rachlin (CRD #823547, Registered Principal, Pleasantville, New York)   has submitted a Letter of Acceptance, Waiver and Consent in which he was fined $10,000, suspended from association with any FINRA member in any capacity for 30 business days, and suspended from association with any FINRA member in any principal capacity for 18 months. The […]

December 19, 2011
Boca Raton Rep, Alan Goddard, Jr., Fined and Suspended by FINRA

Alan David Goddard Jr. (CRD #3019681, Registered Representative, Boca Raton, Florida)   has submitted a Letter of Acceptance, Waiver and Consent in which he was fined $10,000 and suspended from association with any FINRA member in any capacity for 45 days. This fine must be paid either immediately upon Goddard’s reassociation with a FINRA member […]

November 30, 2011
Due Diligence on Private-Placements Labeled 'Sloppy'

In a November 25, 2011, article in InvestNews.com, Bruce Kelly writes that broker-dealers who sold billions of dollars in allegedly fraudulent private placements failed massively in their due-diligence responsibilities to investors, according to the assessment of forensic accountant and expert witness Gordon Yale, who has worked on more than 50 legal claims brought by investors against […]

November 29, 2011
Next Financial Group, Inc., Ordered to Pay $2M to Clients Over Provident Royalties Private Placements

In a November 28, 2011 article for InvestmentNews.com, Bruce Kelly writes that Next Financial Group, Inc. has agreed to pay $2 million in restitution to clients who bought oil and natural gas private placements of Provident Royalties LLC, which the Securities and Exchange Commission in 2009 accused of fraud. In a Financial Industry Regulatory Authority Inc. […]

November 29, 2011
LPL Financial Fined for 'Oversights' Involving Elderly Clients

In a November 23, 2011, article in FA Magazine, Karen DeMasters writes that LPL Financial has been fined $100,000 for failing to properly oversee one of its brokers in Oregon who sold risky investments to people, many of them elderly and without the mental capacity to make investment decisions. It was reported that the Oregon […]

November 18, 2011
Laidlaw & Co. Miami Broker Accused of Elder Abuse

An article appeared in the About.com Guide, written by Julie Garber regarding a Miami broker and elder abuse.  She wrote that recently a Miami news station reported on the elder abuse case of Josephine Troisi, age 93, and her sister, Mary Teris, age 95. A few years ago the sisters, who live together in Hollywood, Florida, hired […]

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