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January 15, 2025
Viqas Akhtar Facing Allegations at B. Riley Wealth Mgmt

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Viqas Akhtar (also known as B. Akhtar) [CRD#: 5624412, Miami, Florida]. Viqas Akhtar has been employed at four firms over his 14-year career. He is currently registered with B. Riley Wealth Management, where he has worked since July 22, 2022. Prior to this, Akhtar […]

August 3, 2023
Investors File Disputes About Ray San Pedro

Soreide Law Group is investigating possible investor claims against Ray Anthony Garrido San Pedro (CRD: 4565686, Miami, Florida). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for National Securities Corp. Evidently, one or more investors alleged misconduct in these disputes, including that San […]

July 27, 2023
Keith Medeck Disclosed Allegations Of Unsuitable Advice

Investors have come forward with complaints about securities broker Keith Howard Medeck (CRD: 3011429, New York, New York). Notably, the securities broker, who worked for National Securities Corp., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, National Securities Corp. clients allege that Medeck made unsuitable recommendations. For more on these disclosures about […]

May 12, 2023
Investors File Disputes About William Braun

Investors have come forward with complaints about securities broker William John Braun (also known as Bill Braun) (CRD: 1271500, Boca Raton, Florida). Evidently, the securities broker, who worked for National Securities Corporation, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, National Securities Corporation clients allege that Braun gave unsuitable advice. For more […]

February 10, 2023
FINRA Sanctions Alan Feigenbaum

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Alan Feigenbaum (also known as Alan Scot Feigenbaum) [CRD: 3132230, Boynton Beach, FL]. Not only has FINRA sanctioned Feigenbaum for discretionary trading, but investors complained about the securities broker. However, Feigenbaum denies the allegations. Read on to learn more about the allegations against […]

December 26, 2022
Investors File Disputes About Jay Sheth

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Jay Sheth [CRD: 4656009, Memphis, Tennessee]. Evidently, investors disputed the sales practices of the securities broker, who worked for National Securities Corporation. Additionally, the securities broker disclosed a regulatory enforcement action. Read on to learn more about the allegations against Sheth. National Securities […]

December 18, 2022
FINRA Sanctions Philip Marchese

Soreide Law Group is investigating possible investor claims against securities broker Philip Marchese [CRD: 5905008, New York, New York]. Notably, FINRA sanctioned the securities broker, who worked for Spartan Capital Securities LLC. Allegedly, Marchese engaged in excessive trading. Here is a brief summary of FINRA’s allegations against Marchese. FINRA Sanctions Spartan Capital Securities LLC Securities […]

November 20, 2022
FINRA Sanctions Jonathan Rich

Soreide Law Group is investigating possible investor claims against securities broker Jonathan Rich AKA Jonathan Craig Rich [CRD#: 2271478, New York, NY]. Notably, FINRA sanctioned the securities broker, who worked for National Securities Corp. Allegedly, Rich failed to testify when FINRA investigated the stockbroker for possible violations of FINRA rules. Here is a brief summary […]

October 18, 2022
Tom Holly Facing Investor Suitability Complaints

Soreide Law Group is investigating possible investor claims against securities broker John Thomas Holly AKA Tom Holly [CRD#: 1713313, Boca Raton, FL]. Holly has worked for (1) B. Riley Wealth Mgmt. since 2022; (2) B. Riley Wealth Advisors Inc. since 2004; and (3) National Securities Corporation from 2004-2022. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck […]

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