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April 6, 2015
Massachusetts Broker Barred by FINRA for Allegedly Converting Clients' Funds for Her Own Personal Use

Nilda Lee Vasey (CRD #4842504, Dorchester, Massachusetts was barred by FINRA for allegedly converting client funds for her own personal use and benefit. FINRA's findings stated that Vasey gained access to the clients funds by requesting, and against her member firm’s policy, that her clients make their annual firm financial planning fee checks, or wire […]

December 3, 2014
California Broker Barred by FINRA for Alleged Misapproriation of Over $2 Million in Client Funds

The following summation of information was obtained by Soreide Law Group on FINRA's Website under "Disciplinary and Other Actions, November 2014." Mark Foster (CRD #719105, Pasadena, California) was barred by FINRA for failure to respond to FINRA's requests for information and documents and failure to appear before FINRA and provide on-the-record testimony. The requests from […]

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