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October 15, 2022
Rodrigue Lors In Client Suitability Dispute

Investors have come forward with complaints about securities broker Rodrigue Lors AKA Rodrique Lors [CRD#: 4379214, Westbury, NY]. Lors worked for (1) Wilmington Capital Securities LLC from 2017-Present and (2) National Securities Corporation from 2007-2017. Evidently, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that one or more National Securities Corporation investors disputed the sales practices […]

July 7, 2022
Debra Bourne In First Standard, NSC Investor Disputes

Investors File Disputes Concerning Securities Broker Debra Bourne (First Standard Financial, National Securities Corp) Soreide Law Group comes to you with an update concerning securities broker Debra Collura Bourne aka Debra Ann Bourne (CRD#: 1352344, Red Bank, New Jersey). Evidently, Bourne worked for Oppenheimer Co. Inc. (2008 to 2014), National Securities Corporation (2014 to 2016), […]

July 5, 2022
Aalon Rose Involved In IFS Client Dispute

Investor Dispute Reported On BrokerCheck Concerning Broker Aalon Rose (IFS, Morgan Wilshire) Investment loss recovery counsel at Soreide Law Group provides you with new information on securities broker Aalon Rose “Allen Rose” (CRD#: 4785931, Garden City, New York), who discloses information about an investor dispute and employment termination on Financial Industry Regulatory Authority (FINRA) BrokerCheck. […]

June 5, 2022
James Mariani Facing Aegis, NSC Investor Disputes

Securities Broker James Mariani Involved In Aegis Investor Disputes The Financial Industry Regulatory Authority (FINRA) contains important information regarding securities broker James J. Mariani (CRD#: 2932631, Mineola, New York). Evidently, Mariani worked for securities firms National Securities Corporation (2007 to 2017) and Aegis Capital Corp. (2017 to 2021). Notably, ten investors filed disputes alleging sales […]

May 8, 2022
Shane Falcon Involved In NSC Investor Dispute

Broker Shane Falcon (National Securities Corp) Faces Investor Disputes Involving Private Placements, Equities The Financial Industry Regulatory Authority (FINRA) provides important information in regard to securities broker Shane Rene Falcon (CRD#: 5626256, Miami, Florida). Evidently, Falcon worked at GunnAllen Financial and CBG Financial Group before joining National Securities Corporation. Evidently, he worked at National Securities […]

April 11, 2022
National Securities Corp Fined and Censured

According to a recent article in FinancialAdvisorIQ, the Financial Industry Regulatory Authority (FINRA)  has censured and fined National Securities Corp, a broker/dealer firm, over its alleged handling of private offerings. The FINRA letter of acceptance, waiver and consent (AWC) alleges that in December of 2017 and January of 2018, National Securities Corp (NSC) allegedly sold […]

March 9, 2022
Herbie Greene In Client's Private Placement Dispute

Securities Broker Herbie Greene Involved In National Securities Corporation Investor's Suitability Dispute Soreide Law Group has news on securities broker James Lee Greene (“Herbie Greene”) (CRD#: 2974053, Boca Raton, Florida). Evidently, he worked for firms Ameriprise (1998 to 2006), First Command Financial Planning (2007 to 2018), National Securities Corporation (2018 to 2022), and B. Riley […]

March 8, 2022
Carter Mansbach In National Securities Corp Disputes

National Securities Corp Clients Allege Misrepresentation And Excessive Trading, According To Disputes About Carter Mansbach Financial Industry Regulatory Authority (“FINRA”) BrokerCheck contains new information regarding securities broker Carter David Mansbach (CRD#: 2275878, New York, New York). Notably, two investors filed disputes regarding the securities broker. Evidently, these disputes relate to Mansbach’s actions when employed by […]

February 10, 2022
Viqas Akhtar In National Securities Corp Disputes

Securities Broker Viqas Akhtar Involved In National Securities Corp Client Dispute About Private Placement Suitability The Financial Industry Regulatory Authority (FINRA) reports new disclosures concerning securities broker Viqas Akhtar (CRD#: 5624412, Miami, Florida). Evidently, Akhtar is involved in seven investor disputes alleging sales practice violations such as unsuitable transactions. Six of these disputes concern Akhtar’s […]

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