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September 1, 2016
FINRA Files Complaint Against CHRISTOPHER B. ARIOLA For Alleged Over-Concentration of Elderly Clients in Energy and Gold Stocks

The Financial Industry Regulatory Authority Inc. (FINRA) filed a complaint August 25th. 2016, against ex-broker, CHRISTOPHER B. ARIOLA (CRD# 2957096) (Alternate Name: CHRISTOPHER BASILE ARIOLA).  Allegedly while working for Bay Mutual Financial, of Santa Monica, California, Ariola recommended that three elderly retirees invest a substantial portion of their retirement savings in gold and energy stocks […]

April 17, 2013
GOLD PRICES PLUMMET AND INVESTORS GET BURNED

Soreide Law Group is investigating potential claims on behalf of investors with losses in gold futures, gold options, gold stocks, or gold ETFs. If your broker invested more than 25% of your portfolio in gold investments and you have suffered substantial losses, you may have a claim for damages. Global inflation is falling which reduces […]

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