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January 27, 2026
Epoch Fort Collins DST Investor Alert

Soreide Law Group is investigating potential investor claims involving sales practice violations by securities brokers and financial advisors in connection with Epoch Fort Collins DST. Epoch Fort Collins DST is a Delaware Statutory Trust real estate investment that was marketed primarily to investors completing 1031 exchanges and seeking passive income and tax deferral. Adverse information […]

January 27, 2026
S.T.L. Resources Drilling Fund D L.P. Losses?

Soreide Law Group is investigating potential investor claims involving sales practice violations by securities brokers and financial advisors related to S.T.L. Resources Drilling Fund D L.P. This investment is a private oil and gas drilling program sold through a Regulation D offering and tied to energy exploration and production activities. There is adverse information associated […]

January 26, 2026
Southern Star Storage Montrose II DST Investor Alert

Soreide Law Group is investigating potential investor claims involving sales practice violations by securities brokers and financial advisors related to Southern Star Storage Montrose II DST. This investment is a private real estate offering structured as a Delaware statutory trust and was marketed to investors seeking income, diversification, or potential 1031 exchange benefits. Adverse information […]

January 26, 2026
MRSC Co Aspen House DST Losses?

Soreide Law Group is investigating potential investor claims involving sales practice violations by securities brokers and financial advisors related to MRSC CO Aspen House DST. This investment is a private real estate offering that was marketed to investors seeking income and potential tax advantages through a 1031 exchange structure. In recent years, adverse information and […]

January 24, 2026
Robert Hiss Tied To IFP Securities Investor Complaint About Misrepresentation

Investors have reportedly disputed the sales practices of securities broker Robert Kent Hiss [CRD: 1599380, Wichita, Kansas], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Hiss has been registered with IFP Securities LLC since May 23, 2019, and has also worked as an investment adviser with Independent Financial Partners since November […]

January 21, 2026
Scott Brooks Involved In Newbridge Securities Corporation Investor Complaint About Negligence

Investors potentially incurred losses because of securities broker Scott Stanley Brooks [CRD: 3235252, San Clemente, California], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Scott Brooks has been registered with Newbridge Securities Corporation since August 16, 2007, and with NFSG Corporation since September 6, 2007. Investors should continue reading to discover […]

January 21, 2026
Alex Ng Linked To PHX Financial Investor Dispute Alleging Unsuitable Advice

Investors potentially experienced sales practice violations by securities broker Alex Ng (also known as Alex King) [CRD: 5842211, New York, New York], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Ng worked for National Securities Corporation from December 20, 2010, to June 1, 2022, and has been registered with PHX Financial Inc. […]

January 19, 2026
Eugene Thomas Tied To MML Investors Services Investor Dispute About Negligence

Investors might have sustained losses due to securities broker Eugene Boyd Thomas (also known as Gene Thomas) [CRD: 2065557, Lexington, Oklahoma], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Thomas has worked for MML Investors Services LLC as a broker and investment adviser since March 25, 2017. Investors should continue reviewing this […]

January 19, 2026
Jeffrey Morrison Connected To LifeMark Securities Investor Dispute Alleging Breach Of Fiduciary Duty

Investors potentially experienced sales practice violations by securities broker Jeffrey Seth Morrison [CRD: 3200399, Livingston, New Jersey], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Jeffrey Morrison has worked with LifeMark Securities Corp. since February 18, 2005, as a broker, and since September 11, 2009, as an investment adviser. Investors should […]

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