Latest Securities Lawyer News

Our experts keeping you up to date with our ever changing industry

Read the latest in Security Lawyer news and information

We're here to help victims of broker fraud
July 7, 2022
Kevin McKenna In Stifel Nicolaus Investor Disputes

Stifel Nicolaus Investors Bring Disputes About Broker Kevin McKenna Soreide Law Group is reviewing investor complaints concerning securities broker Kevin Patrick McKenna (CRD#: 1886142, Wausau, Wisconsin), as disclosed on FINRA BrokerCheck. It appears that the disclosures involving McKenna concern his employment Stifel Nicolaus. Here’s more about the allegations of breach of fiduciary duty and unauthorized […]

July 7, 2022
Scott Shaw In Ameriprise Client Disputes

Ameriprise Financial Clients Bring Disputes Concerning Broker Scott Shaw FINRA provides important information regarding securities broker Scott Ari Shaw (CRD#: 4406793, Philadelphia, Pennsylvania). It appears that the disclosures involving Shaw concern Ameriprise Financial Services Inc. (his employer from 2001 to 2018). Shaw was both a financial advisor representative and a securities broker with Ameriprise Financial […]

July 7, 2022
Jessica Hall In BBVA Client Disputes

Broker Jessica Hall Involved In BBVA Investor Disputes Concerning Annuities Soreide Law Group talks about the FINRA BrokerCheck disclosures on securities broker Jessica Wasserman Hall (CRD#: 4879088, Hoover, Alabama). Evidently, Hall worked as a PNC Managed Account Solutions financial advisor from 2010 to 2021. She also worked as a BBVA Securities broker from 2013 to […]

July 7, 2022
Adam Maggio Discloses FINRA Sanctions, Client Disputes

Sanctions, Investor Disputes Reported On BrokerCheck Record Of Adam Maggio Soreide Law Group is examining investor complaints concerning securities broker Adam Maggio (CRD#: 4177365, Mineola, New York). It appears that disclosures concern JP Turner Company (his employer from 2005 to 2008). They also concern Joseph Stone Capital (his employer since 2013). Here is an overview […]

June 7, 2022
Bill Burks Facing Centaurus Financial Investor Disputes

Investors Allege Sales Practice Violations In Disputes About Cetera Financial, Bill Burks FINRA BrokerCheck contains important investor information relating to securities broker William Charles Burks “Bill Burks” (CRD#: 2944992, Flower Mound, Texas). Evidently, Burks works at Centaurus Financial Inc. as both a financial advisor (2011 to present) and securities broker (2000 to present). It appears […]

May 31, 2022
Scott Steinhorst Involved In Wintrust Investor Dispute

Wintrust Client Brings Dispute About Broker Scott Steinhorst Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker Scott Robert Steinhorst (CRD#: 3274380, Hartland, Wisconsin). Evidently, Steinhorst was a securities broker at Wintrust Investments (2004 to 2019). Also, he worked for Wayne Hummer Investments. Here is an overview of […]

May 31, 2022
Mark Brody Involved In PFP Investor Disputes

Client Of Planned Financial Programs Brings Dispute About Mark Brody Soreide Law Group gives you an updated on securities broker Mark Stewart Brody (CRD#: 1475753, Melville, New York). Particularly, Brody has worked as a securities broker for Planned Financial Programs Inc. since 1990. Here is a summary of the BrokerCheck disclosures involving allegations of unsuitable […]

May 29, 2022
Melvin Pirchesky Involved In Boustead Investor Dispute

Broker Melvin Pirchesky Involved In Disputes Brought By Boustead Investors Soreide Law Group is reviewing investor complaints concerning securities broker Melvin Pirchesky (CRD#: 1143100, Irvine, California), as disclosed on FINRA BrokerCheck. Evidently, Pirchesky worked for securities firm Boustead Securities from 2016 to 2019. Read further to learn more about the allegations of misrepresentations and excessive […]

May 27, 2022
Daniel Soliman Involved In Traderfield Investor Dispute

Investor Alleges Traderfield, Daniel Soliman Misrepresented Information About Trading Soreide Law Group is examining investor disputes concerning securities broker Daniel M. Soliman (CRD#: 6053300, New York, New York), as disclosed on FINRA BrokerCheck. Notably, Soliman was a securities broker at Traderfield Securities (his employer from 2016 to 2018) during the time of the allegations against […]

1 29 30 31 32 33 62
Copyright © 2025 Soreide Law Group, PLLC  |  All Rights Reserved