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May 24, 2025
Alexander Creede Tied To International Assets Advisory Client Suitability Dispute

Investors might have sustained losses due to securities broker Alexander Raymond Creede (also known as Alexander Creede) [CRD: 6392369, Houston, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Creede worked for Independent Financial Group LLC from March 31, 2022, to the present. Before that, he was employed by International Assets Investment […]

May 9, 2025
Williams Butcher Tied To International Assets Advisory Client Dispute

Investors potentially experienced sales practice violations due to securities broker Williams Keen Butcher (also known as Keen Butcher) [CRD: 2098675, Kemah, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Williams Butcher worked for Independent Financial Group LLC beginning May 3, 2022, and is currently registered with this firm. Previously, Butcher was […]

November 28, 2023
FINRA Sanctioned Sean Casterline

Soreide Law Group is looking into investor claims concerning Sean Donovan Casterline [CRD#: 2212919, Orlando, Florida]. Evidently, Casterline worked for Delta Securities Company LLC (2018 to 2022). He worked for International Assets Advisory LLC (2017 to 2017). The broker disclosed a FINRA sanction on December 30, 2021, for alleged private securities transactions. FINRA Sanctioned Casterline […]

January 31, 2021
Damian Bell’s Alternative Investment Sales In Dispute

Securities Broker Damian Bell In Hot Water Over Alternative Investment Disputes The Financial Industry Regulatory Authority (FINRA) reports troubling information in regard to securities broker Damian Marlon Bell (CRD#: 2348521, Daphne, Alabama). Notably, the securities broker, who worked for firms including International Assets Advisory, International Assets Investment Management, and WFG Investments, has been targeted by […]

October 6, 2020
BRIAN ROTH Involved In Investor Disputes

Broker Brian Roth Reportedly Breached A Fiduciary Duty To Investors And Made Bad Investment Recommendations The investment loss lawyers at Soreide Law Group provide you this investor alert in regard to problem securities broker Brian Robert Roth (CRD#: 4607595, Chester, New Jersey). Apparently, no less than three investors filed disputes about the securities broker, who […]

January 21, 2020
Carleton Boothe Allegedly Breaches Duty

IAA Broker Carleton Boothe Possibly Breached A Fiduciary Duty To Investors Evidently, investors are coming forward with disputes concerning securities broker Michael “Carleton” Boothe [CRD#: 2160227, Fort Lauderdale, Florida]. Apparently, the securities broker, who associated with International Assets Advisory from 2014 to 2018, reports 2 investor disputes on Financial Industry Regulatory Authority (“FINRA”) BrokerCheck. Notably, […]

August 7, 2019
MICHAEL SPOLAR Dealt FINRA Suspension

MICHAEL SPOLAR Dealt FINRA Suspension The Financial Industry Regulatory Authority (“FINRA”) issued a 15-month suspension to International Assets Advisory LLC (“IAA”) securities broker Michael Spolar (CRD#: 2192992, Orlando, Florida). Evidently, Spolar executed a Letter of Acceptance, Waiver and Consent (“AWC”) on July 16, 2019, which FINRA accepted ten days later. Notably, Spolar’s suspension, effective August […]

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