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February 26, 2019
INVESTOR WARNING! Complaints Filed Against BBVA Securities Brokers Samuel Doria, Whitney Streck, Roberto Clynes

INVESTOR WARNING! Complaints Filed Against BBVA Securities Brokers Samuel Doria, Whitney Streck, Roberto Clynes BBVA Securities Inc. (CRD#: 27060, New York, New York) is a brokerage firm regulated by the Financial Industry Regulatory Authority (“FINRA”). Since establishment, BBVA Securities Inc. reports eight instances in which securities regulators or the firm’s customers have alleged the firm […]

February 22, 2019
INVESTORT ALERT: Customer Complaints Filed Against Presidential Brokerage, Gregory Williams

INVESTORT ALERT: Customer Complaints Filed Against Presidential Brokerage, Gregory Williams Gregory Jon Williams (CRD#: 1561089, Greenwood Village, Colorado) is a licensed securities representative of Presidential Brokerage, Inc. Apparently, he has transacted with investors through the Greenwood Village, Colorado offices as early as April 20, 2011. The Financial Industry Regulatory Authority (“FINRA”), who regulates broker-dealers and […]

February 20, 2019
LPL Financial Disaffiliates With Mark Thomas Lamkin For Private Securities Transactions

LPL Financial Disaffiliates With Mark Thomas Lamkin For Private Securities Transactions Mark Thomas Lamkin (CRD#: 2121510, Louisville, Kentucky) is a prior LPL Financial LLC securities representative. Apparently, Lamkin worked in the firm’s Louisville, Kentucky offices between February 9, 2001 and September 14, 2018. Notably, LPL Financial LLC discharged Lamkin for engaging in misconduct that could […]

February 19, 2019
FINRA Issues Fine And Suspension To LPL Financial LLC’s Melvin Case

FINRA Issues Fine And Suspension To LPL Financial LLC’s Melvin Case Melvin Elwood Case (CRD#: 2393464, Jacksonville, Florida) is a prior general securities representative for LPL Financial LLC. Notably, on January 19, 2018, FINRA issued Case a $5,000 fine and six month suspension from having any association with a FINRA member in all capacities for […]

February 8, 2019
Investor Alert! Complaints Against Joshua Johner, Stephen Hendy, Scott Nordblom

Investor Alert! Complaints Against Joshua Johner, Stephen Hendy, Scott Nordblom PFS Investments Inc. (CRD#: 10111, Duluth, Georgia) is both an investment adviser firm regulated by the Securities and Exchange Commission (“SEC”) and brokerage firm regulated by the Financial Industry Regulatory Authority (“FINRA”). Currently, on FINRA BrokerCheck, the firm discloses seventeen regulatory events and two arbitrations. […]

February 7, 2019
Customer Complaints Filed Involving NYLife Securities’ Jeffrey Sleeper

Title goes here NYLife Securities LLC (CRD#: 5167, New York, New York) is a brokerage firm which Financial Industry Regulatory Authority (“FINRA”) regulates. Notably, the firm reports on FINRA BrokerCheck that on ten occasions, FINRA or another regulator filed an action against the firm for misconduct. Apparently, those actions concern the firm’s failure to conform […]

February 5, 2019
Merrill Lynch Customers File Disputes Concerning John Clark, Charles Watson, Akinwale Adebayo, Glenn Patti

Merrill Lynch Customers File Disputes Concerning John Clark, Charles Watson, Akinwale Adebayo, Glenn Patti Merrill Lynch, Pierce, Fenner, & Smith Incorporated (CRD#: 7691, New York, New York) is a brokerage firm regulated by FINRA and investment advisor firm regulated by SEC. Notably, on 559 occasions, Merrill Lynch disclosed that a regulator pursued sanctions against the […]

January 30, 2019
FINRA Bars CP Capital Securities’ Alexis Lertora For Misrepresentation

FINRA Bars CP Capital Securities’ Alexis Lertora For Misrepresentation Alexis Lertora (CRD#: 4821845, Miami, Florida) is a past general securities representative of CP Capital Securities. He worked at CP capital Securities from June 2015 to April 2017. Apparently, three months later, on July 31, 2017, FINRA expelled the firm. Most importantly, Financial Industry Regulatory Authority […]

January 30, 2019
Attention: Suffered Losses From Ameriprise Broker Jason Tuberosa?

Suffered Investment Losses From Ameriprise Broker Jason Tuberosa? Soreide Law Group is investigating potential claims on behalf of those who invested with Jason Richard Tuberosa (CRD#: 1277676, Sun City Center, Florida), who is a securities representative and supervisor for Ameriprise Financial Services, Inc. Jason Tuberosa commenced employment at Ameriprise Financial Services offices in Sun City […]

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