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October 14, 2024
John Rotando Jr. Facing Client Complaints Over Unsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker John George Rotando Jr. [CRD: 2071444, Greenwich, Connecticut]. Rotando joined Wells Fargo Clearing Services LLC on April 29, 2016, and he also serves as a financial advisor with Wells Fargo Advisors. Before his time at Wells Fargo, he worked for UBS PaineWebber Inc. and […]

October 11, 2024
Garrett Moretz Accused of Misrepresentation by LifeMark Client

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Garrett Wayne Moretz [CRD: 4086791, Mooresville, North Carolina]. Moretz joined LifeMark Securities Corp. on May 31, 2017. Investors and SEC have raised concerns regarding Moretz’s conduct, leading to allegations of misrepresentation, unsuitable recommendations, and negligence. Continue reading to learn more about the disclosures. SEC […]

October 10, 2024
Douglas Waisner Facing Client Dispute at Western International

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Douglas Cy Waisner [CRD: 1280998, Westlake Village, California]. Evidently, Waisner joined Western International Securities Inc. on May 27, 2008, and worked for Financial West Group from January 1, 2005, to March 20, 2013. Keep reading to learn more about client disputes that contain allegations […]

October 9, 2024
Donald Hansen Jr. Allegedly Engaged in Unauthorized Trading at Merrill Lynch

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals details about securities broker Donald Leo Hansen Jr. [CRD: 3207894, San Francisco, California]. Hansen worked at Merrill Lynch from October 23, 2009, to March 22, 2024. Disclosures on BrokerCheck show allegations against Hansen stemming from his involvement with customers. Those allegations include unauthorized and excessive trading in client […]

October 7, 2024
Christopher Stocks Under a FINRA Investigation

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Christopher Stephen Stocks [CRD: 2600346, Paradise Valley, Arizona]. Stocks has a lengthy employment history, including working for Morgan Stanley DW Inc. from 2009 to 2021, and working for Prospera Financial Services Inc. since 2022. However, Stocks has been involved in client disputes and regulatory […]

October 6, 2024
Brian Beh Fined and Suspended for Outside Business Activities

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker / financial advisor Brian Carroll Beh [CRD: 1500962, Richmond, Virginia]. Beh has worked for Frontier Solutions LLC since July 21, 2021, and worked for MMX Global Partners LLC from November 1, 2018, to December 18, 2020. Recently, FINRA took action against Beh for allegedly […]

October 5, 2024
Brandon Larsen Discharged For Unauthorized Trading Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Brandon Larsen [CRD: 6192239, Green Bay, Wisconsin]. Evidently, Larsen worked for Thrivent Investment Management Inc. from October 3, 2013, to January 22, 2024, before joining Equity Services Inc. on February 21, 2024. Larsen’s disclosures include allegations of unauthorized trading and failure to disclose outside […]

October 4, 2024
Andrew Scheier Accused of Unsuitable Advice at Stifel Nicolaus

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Andrew Scheier [CRD: 2820778, New York, New York]. Evidently, Scheier has worked for Stifel Nicolaus Company Incorporated as a securities broker since August 21, 2007, and as a financial advisor since November 24, 2021. Recently, Scheier faced client disputes regarding his recommendations and strategies. […]

September 15, 2024
Todd Havemeister Fined By FINRA, Involved In Investor Disputes

FINRA fined securities broker Todd Arnold Havemeister [CRD: 1942953, Melbourne, Florida], and investors complained about him, according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Todd Havemeister worked for Great Point Capital LLC from August 21, 2018, to May 5, 2022. Here’s more about the disclosures concerning Todd Havemeister and how they may […]

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