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November 16, 2012
Oregon Financial Planner Barred by FINRA

A financial planner from Eugene, Oregon, James Scott McKee, was barred from the industry after he failed to comply with an arbitration award. FINRA, the Financial Industry Regulatory Authority, had alleged that McKee steered his clients to invest $372,000 in businesses which he had a financial interest. It also alleged that McKee used $652,215 in […]

November 13, 2012
Did You Invest With Vincenzo (Vince) Covino?

Soreide Law Group, PLLC, has launched an investigation into the suspended Idaho broker, Vincenzo (Vince) Covino. Covino was employed at Legacy Wealth Management Group in Boise, and Prospera Financial Services. Covino was with LPL Financial until 2009. Vince Covino was fined and suspended by FINRA for borrowing hundreds of thousands of dollars from a client, […]

November 13, 2012
UBS Willow Fund, LLC

Soreide Law Group is currently investigating potential claims for clients who lost money in UBS Willow Fund, LLC. The UBS Willow Fund is a close-ended fixed income mutual fund that launched in 2000, and is managed by UBS Willow Management, L.L.C. The Willow Fund primarily invests in the fixed income markets of the United States. […]

November 6, 2012
Did You Invest in These Oil and Gas Funds?

Did you invest in Mountain V Oil and Gas, or Ridgewood Energy Funds I through Z? Typically, investing in an oil and gas deals or limited partnerships can be a speculative venture that may have the risks associated with illiquid investments. When making investments in oil and gas deals or energy limited partnerships, we highly […]

November 2, 2012
Did You Invest in Bryn Mawr CLO Ltd., or LCM VII Ltd?

Soreide Law Group is currently investigating these collateralized loan obligations (CLOs): Bryn Mawr CLO II Ltd., and LCM VII Ltd(Lyon Capital Management). Bank of America was the underwriter and sold several CLO’s, including Bryn Mawr and LCM VII. Many of these CLOs resulted in huge losses for the investors. The state of Massachusetts is currently […]

October 31, 2012
Did You Invest in ETF's?

Soreide Law Group, PLLC, is currently investigating the marketing and sales of non-traditional exchange traded funds (ETFs) to investors. Many of the country's leading banks – including Citigroup, Morgan Stanley, UBS and Wells Fargo – were recently sanctioned by the Financial Industry Regulatory Authority (FINRA) for more than $9.1 million over their failure to supervise […]

October 22, 2012
FINRA Reports on 'Recommending Unsuitable Transactions to Customers'

FINRA publishes a quarterly review to provide firms with a sampling of recent disciplinary actions involving misconduct by registered representatives. The sample includes settled matters and decisions in litigated cases (National Adjudicatory Council (NAC) decisions and SEC decisions in FINRA cases). These summaries call attention to, and remind registered representatives and member firms of, specific […]

October 15, 2012
Not Just the Rich and Famous Fall Prey to Investment Fraud

It's not just the rich or famous anymore. Many scam artists prey on people from all ages and walks of life, often targeting those they already know - perhaps they attend the same church or knitting club - in so-called "affinity fraud," writes Carolyn Said of the Houston Chronicle in a recent article. Victim advocacy […]

October 8, 2012
VelocityShares 2x Long VIX Short Term Exchange Notes

The Securities and Exchange Commission (SEC) is looking into the VelocityShares 2x Long VIX Short Term Exchange Note, managed by Credit Suisse Group AG, which had about $700 million in assets before the decline, according to an article in the Wall Street Journal. The Massachusetts’s securities regulator and the U.S. Securities and Exchange Commission (SEC) […]

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