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May 22, 2024
Stuart Haw Involved In Investor Disputes Alleging Negligence

Soreide Law Group is investigating potential investor claims of sales practice violations possibly committed by securities broker Stuart Bryan Haw [CRD: 2905167, Bradenton, Florida], based on the disclosures on the Financial Industry Regulatory Authority (FINRA) BrokerCheck. Here’s more about the investor disputes involving Stuart Haw. Cetera Advisors LLC Investor Accused Haw Of Unsuitable Investment Recommendations […]

February 15, 2023
FINRA Files Complaint Against Don Ingram

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Don Ingram (also known as Donnie Eugene Ingram) [CRD: 1416971, Winter Haven, FL]. Not only has FINRA filed an enforcement action against Ingram, but investors disputed Ingram’s sales practices. However, Ingram denies the allegations of sales practice violations. Read on to learn more […]

September 19, 2022
Investors File Disputes About Scott Aabel

Soreide Law Group is investigating possible investor claims against securities broker Scott Erik Aabel AKA Scott Eric Aabel [CRD#: 1493667, Osprey, Florida]. Specifically, FINRA BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Spire Securities. SagePoint Financial, and Investors Capital. Evidently, one or more clients allege sales practice violations […]

September 12, 2022
Hillary Wertlieb In Investor Disputes

Investors have come forward with complaints about securities broker Hillary Wertlieb [CRD#: 2239224, Lynbrook, New York]. Evidently, the securities broker, who worked for Cetera Advisors and Investors Capital Corp, discloses investor disputes on FINRA BrokerCheck. Specifically, one or more investors allege breach of fiduciary duty, negligence, and breach of contract. For more on these disclosures […]

October 19, 2021
Tony Morris Resigns From Lincoln, Facing Disputes

Securities Broker Torry Morris (Lincoln Investment, Investors Capital Corp) In Disputes Alleging Sales Practice Violations The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck report for securities broker Anthony Ryan Morris “Tony Morris” (CRD#: 2849581, El Paso, Texas) shows that his employer, Lincoln Investment (El Paso, Texas), permitted him to resign amid allegations of violating policy. BrokerCheck […]

February 4, 2021
Robert Ginsberg Targeted In Suitability Disputes

Broker Robert Ginsberg Might Have Recommended Bad Alternative Investments The Financial Industry Regulatory Authority (“FINRA”) reports troubling information in regard to securities broker Robert “Bob” Scott Ginsberg (CRD#: 5177531, Wallingford, Connecticut). Notably, the securities broker, who worked for Investors Capital Corp (2008 to 2016) and Woodbury Financial Services (2016 to present), is involved in at […]

March 5, 2020
MELANIE SWEET Private Placement Losses?

Buckman Broker Melanie Sweet Allegedly Breached Fiduciary Duty Soreide Law Group is evaluating possible investor claims against securities broker and investment advisor, Melanie Sherry Sweet (CRD#: 2620987, Boca Raton, Florida). Notably, FINRA suspended the broker for failing to respond to its Request for Information. Not only that, but an investor also suggested that Sweet breached […]

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