Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
September 18, 2012
Ft. Myers, FL, Broker Fined and Suspended by FINRA

Robert Nunes Da Frota (CRD #2137208, Registered Representative, Fort Myers, Florida) 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 six months and ordered to make full repayment of the outstanding balance on a customer’s loan. Without admitting or […]

September 18, 2012
Lawsuit Alledges Harvey Kadden, a Top Broker at MSSB, is Churning Customer Accounts

Clifford Jagodzinski, formerly of Morgan Stanley Smith Barney LLC (MSSB), claims he was fired for blowing the whistle on one of the firm's newest wealth managers, Harvey Kadden. According to the complaint, filed in U.S. District Court in the Southern District of New York, Kadden “was flipping preferred securities in a manner that was generating […]

September 17, 2012
Weston, Florida, Broker Andrew Glen Rosenberg Fined and Suspended by FINRA

The following appeared on FINRA's website under, "“Disciplinary and Other FINRA Actions, September, 2012.” Andrew Glen Rosenberg (CRD #2944124, Registered Principal, Weston, Florida) 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 three months. Without admitting or denying […]

September 14, 2012
Record Number of Brokers Request Their Records be Expunged

Brokers have made 354 requests so far in 2012 to expunge information such as details of customer arbitration complaints from records that investors and securities firms use to research brokers' professional histories. During the entire year last year, 2011, the number was 372 expungement requests as stated in a recent Rueters article. According to the […]

September 13, 2012
Did You Lose Your Investment In LaeRoc Funds Private Placements?

LaeRoc Funds are real estate 'private placements' sold by various broker/dealers. LaeRoc Funds, a real estate investment firm, manages over $650 million in assets. LaeRoc 2005-2006 Income Fund, L.P., is trying to raise enough money to pay off debt due to the decline in real estate ventures. June, 2011, the Fund issued a cash call […]

September 11, 2012
JP Turner & Co, Atlanta, Charged with 'Churning' Customers' Accounts Over $2.7million

The Securities and Exchange Commission alleged three former brokers at JP Turner & Co. in Atlanta, traded excessively in accounts of seven clients from January, 2008, through December, 2009. Regulators reported that these three brokers churned their client's accounts and received $845,000 in commissions and fees for themselves and the brokerage. Unfortunately, their customers lost […]

September 11, 2012
NASAA Reports on Top Five Violations in Supervision by Broker/Dealers

On September 9th, 2012, at the annual meeting of the North American Securities Administrators Association Inc. (NASAA) in Coronado, California, the top five types of violations in some areas of supervision at broker-dealers were: failure to follow written supervisory policies, suitability, correspondence/e-mail, maintenance of customer account information and internal audits, according to the results of […]

September 7, 2012
Did You Invest in Options with Whitney Thatcher of Kovack Securities?

The Soreide Law Group is currently investigating claims on behalf of Kovack Securities clients who invested in options with Whitney Thatcher in the firm's Henderson, Nevada office. If you have suffered substantial losses due to Mr. Thatcher’s options recommendations, you may have a claim for recovery. Give us a call to discuss your potential claim. […]

September 7, 2012
FINRA Awards 3xs Damages to "Elderly" Client in Florida

Raymond James, FINRA ID # 11-03503 (Bradenton, FL, 8/21/2012) A split FINRA arbitration panel awarded $985,700, including triple damages, to an elderly customer on his misappropriation claim. This award against Paul David Arnold, and Raymond James and Associates, Inc., of Bradenton, Florida, involved the purchasing of an annuity, electronic transfers and conversion of funds of […]

1 9 10 11 12 13 20
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved