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June 8, 2025
Paul Getty Center Of Emerson Equity Client Dispute About Breach Of Fiduciary Duty

Investors possibly experienced sales practice violations due to securities broker Paul M. Getty [CRD: 6470002, San Mateo, California], according to publicly available disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Paul Getty worked for Lightpath Capital Inc. from October 30, 2017, to September 7, 2024, and has worked for Emerson Equity LLC since August […]

June 8, 2025
Ted Boutis Involved In Ameriprise Client Complaints About Misrepresentation

One or more investors apparently complained about securities broker Ted Arthur Boutis [CRD: 2951760, Melville, New York], according to disclosures on FINRA BrokerCheck. Evidently, Ted Boutis has worked for Ameriprise Financial Services LLC since November 13, 1997, as a broker, and since October 5, 2006, as an investment adviser. These registrations are tied to his […]

June 8, 2025
William Bredt Linked To Raymond James Client Complaint About Unsuitable REITs

Investors potentially experienced losses because of securities broker William Roy Bredt (also known as Bill Bredt) [CRD: 1621507, West Conshohocken, Pennsylvania], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that William Bredt has worked for Raymond James Associates Inc. since March 18, 1999, as a broker, and since January 25, 2010, […]

June 7, 2025
Edward Fredericks Linked To Equitable Advisors Clients’ Unauthorized Trading Claim

Investors potentially experienced sales practice violations due to securities broker Edward Charles Fredericks [CRD: 2202730, Milford, Connecticut], according to disclosures on FINRA BrokerCheck. It appears that Fredericks has worked for Equitable Advisors LLC since June 1, 2005, working out of both Milford and Stratford, Connecticut. Keep reading to learn more about the disclosures involving Fredericks […]

June 7, 2025
Terry Harris Facing Money Concepts Client Complaints About Unsuitable Advice

One or more investors apparently complained about securities broker Terry Eugene Harris [CRD: 2653757, Rolla, Missouri], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Terry Harris worked for Money Concepts Capital Corp from October 3, 2011, to December 31, 2019. Below, you can find important information about Terry Harris’s disclosures. Money Concepts […]

June 6, 2025
Ronald Hicks Focus Of Equitable Advisors Clients’ Misrepresentation Claims

Investors potentially experienced sales practice violations due to securities broker Ronald Hicks [CRD: 716765, Williamsville, New York], according to publicly available disclosures on FINRA BrokerCheck. Evidently, Ronald Hicks worked for Equitable Advisors LLC from October 20, 1980, to February 15, 2024. Below, investors can review details about the disclosures involving Ronald Hicks. Equitable Advisors Investor […]

June 6, 2025
Raymond Brown Linked To Northwestern Mutual Clients’ Unsuitable Advice Disputes

One or more investors apparently complained about securities broker Raymond Trey Brown [CRD: 6170291, Frisco, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Raymond Brown worked for Northwestern Mutual Investment Services LLC from March 17, 2014 to December 13, 2024. Below, you can find important information about the disclosures concerning Brown’s investment […]

June 5, 2025
James Parascandola Facing FINRA Suspension, Pruco Client Disputes

FINRA sanctioned securities broker James Ryan Parascandola [CRD: 2866028, East Brunswick, New Jersey] and investors complained about him, according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Parascandola worked for Pruco Securities LLC from May 16, 2022, to May 21, 2024, and for Equitable Advisors LLC from December 9, 2020, to May 18, […]

June 5, 2025
Nicholas Stovall Barred By FINRA, Involved In Gradient Advisors Client Dispute

FINRA barred securities broker Nicholas Edward Stovall [CRD: 5581487, Arden Hills, Minnesota] and an investor complained about him, according to publicly available disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Stovall worked for Gradient Securities LLC from July 14, 2009, to July 21, 2023. Keep reading to learn more about the disclosures involving this […]

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