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May 20, 2024
Sally Weger In Morgan Stanley Misrepresentation Disputes

Investors might have sustained losses due to securities broker Sally Ann Weger (also known as Sarah Ann Weger) [CRD: 2591057, Palm Beach Gardens, Florida], based on the disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Weger joined Morgan Stanley Smith Barney on September 16, 2011. Read on to uncover more about Weger’s client disputes […]

January 26, 2024
Newbridge, Morgan Stanley Investors Dispute Ivan Gefen

Soreide Law Group is currently investigating claims on behalf of investors who might have suffered losses due to Ivan Gefen [CRD: 1229418], a broker and investment adviser in Boca Raton, Florida. Gefen has been associated with Newbridge Securities Corporation and Newbridge Financial Services Group Inc since April 2016. Below, investors will find crucial disclosures related […]

January 24, 2024
Kenneth Welsh In Wells Fargo Client Dispute

Securities broker Kenneth Andrews Welsh [CRD: 4657872, Fairfield, New Jersey] is currently facing investor disputes, according to FINRA BrokerCheck. Evidently, he worked for Wells Fargo from 2012 to 2021. Soreide Law Group is investigating potential claims on behalf of investors who might have suffered financial losses linked to Welsh's practices. Here’s more on the investor […]

August 4, 2020
Nancy Glassman Allegedly Made Unsuitable Trades

Securities Broker Nancy Glassman Might Have Made Bad Trades Soreide Law Group is reviewing potential investor claims alleging bad securities business by Nancy Dawn Glassman (CRD#: 1734992, New York, NY). Namely, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that there are 4 investor disputes regarding the securities broker. Evidently, she worked for UBS Financial Services […]

April 16, 2015
FINRA Censured and Fined Morgan Stanley $675,000 Over Bond Interest Payments

The Financial Industry Regulatory Authority (FINRA) has censured and fined two divisions of Morgan Stanley $675,000 for allegedly misrepresenting municipal bond interest paid to clients as tax-exempt, when in fact, it should have been taxable. Morgan Stanley Smith Barney, and Morgan Stanley & Co. agreed to the penalties April 1, 2015, without admitting or denying […]

July 15, 2013
Former LPL Broker Barred by FINRA

The following information was obtained on FINRA’s website under “Disciplinary and Other FINRA Actions, July, 2013,” by Soreide Law Group, a Securities Arbitration Law Firm, (888) 760-6552. Glen W. Carnes (CRD #5486261, Registered Representative, Orange, California) was barred from association with any FINRA member in any capacity. Without admitting or denying the findings, Carnes consented […]

June 20, 2013
Former Morgan Stanley Smith Barney Rep Fined and Suspended by FINRA

The following information appeared on FINRA’s website under “Disciplinary and Other FINRA Actions, June, 2013.” Darrah Lee Gleason (CRD #2442684, Registered Representative, Old Greenwich, Connecticut) was fined $5,000 and suspended from association with any FINRA member in any capacity for one month. Without admitting or denying the allegations, Gleason consented to the described sanctions and […]

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