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August 9, 2025
Henrique Lucena Facing Laidlaw Client Arbitration Claim Regarding Unauthorized Trading

Investors potentially experienced sales practice violations because of securities broker Henrique Lucena [CRD: 5605196, Coral Gables, Florida], according to disclosures on FINRA BrokerCheck. Evidently, Lucena worked for UBS Financial Services Inc. from August 4, 2010 to March 21, 2017, and Morgan Stanley from March 10, 2017 to July 30, 2020. He joined Laidlaw Company (UK) […]

August 5, 2025
Gary Leavitt Focus Of American Trust Investment Services Client Dispute Alleging Negligence

Investors potentially experienced sales practice violations because of securities broker Gary Lee Leavitt [CRD: 712745, Whiting, Indiana], according to disclosures on FINRA BrokerCheck. Gary Leavitt worked for American Trust Investment Services Inc. from June 8, 2021 to February 14, 2025; McDermott Investment Services LLC from December 7, 2018 to October 22, 2020; and previously from […]

August 3, 2025
John Openshaw Connected To KCD Investor Complaint About Unsuitable REITs

Investors reportedly complained about securities broker John Robert Openshaw [CRD: 2306112, Green Bay, Wisconsin], according to publicly available information found on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Openshaw worked for KCD Financial Inc. from April 11, 2018 to November 16, 2020. Read below to know more about Openshaw’s disclosures and how they may impact affected […]

August 2, 2025
Joel Woods Facing Concorde Investment Services Clients’ Unsuitable Advice Arbitration Claims

Investors may have incurred losses because of securities broker Joel Floyd Woods [CRD: 1470780, Fort Worth, Texas], according to public information reported on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Joel Woods worked for LPL Financial LLC from March 26, 2021 to December 16, 2024; Concorde Investment Services LLC from November 23, 2016 to March 26, […]

August 1, 2025
Brett Rutherford Connected To Capital Investment Group Client Disputes Over GWG Holdings L Bonds

FINRA barred securities broker Brett Allen Rutherford [CRD: 4001310, Morehead City, North Carolina], and investors complaint about him, based on publicly available information found on FINRA BrokerCheck. Brett Rutherford worked for Capital Investment Group Inc. from September 18, 2015 to December 6, 2024. See the following information to find out more about the disclosures involving […]

July 31, 2025
Gregory McLeod Connected To Newbridge Securities Corp Clients’ Negligence Complaints

One or more investors possibly experienced losses because of securities broker Gregory Malcolm McLeod (also known as Greg McLeod) [CRD: 2741097, Boca Raton, Florida], based on public information reported on FINRA BrokerCheck. Gregory McLeod joined Newbridge Securities Corporation on January 17, 2002. See the following information to find out more about the disclosures involving McLeod. […]

July 27, 2025
John Schlagheck Facing Intervest Clients’ Negligence Claims Over GWG Bonds

Investors potentially experienced sales practice violations due to securities broker John Francis Schlagheck [CRD: 1040673, Ottawa Lake, Michigan], according to publicly available information reported on FINRA BrokerCheck. John Schlagheck worked for Intervest International Equities Corporation from August 17, 2017 to October 5, 2022, and Cape Securities Inc. from October 18, 2022 to March 6, 2023. […]

July 27, 2025
James McArthur Involved In IBN Client Complaint Alleging Breach Of Fiduciary Duty

Investors reportedly complained about securities broker James Edward McArthur [CRD: 2797856, Massapequa, New York], according to public information found on FINRA BrokerCheck. James McArthur worked for IBN Financial Services Inc. from April 1, 2021 to June 17, 2022; Traderfield Securities Inc. from January 9, 2019 to September 25, 2020; and American Portfolios Financial Services Inc. […]

July 26, 2025
John Shortal Connected To Moloney Securities Client Arbitration Claims Alleging Negligence

Investors potentially experienced sales practice violations due to securities broker John Patrick Shortal (also known as Pat Shortal) [CRD: 2233172, Jerseyville, Illinois], according to public information reported on FINRA BrokerCheck. Shortal joined Moloney Securities Co. Inc. on March 30, 2012. Read below to learn more about the client disputes and allegations reported against this securities […]

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