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August 26, 2020
Austin Dutton's Bad Alternative Investment Sales

Newbridge Broker Austin Dutton Supposedly Misrepresents Alternative Investments Droves of Investors are bringing lawsuits or complaints about securities broker Austin R. Dutton Jr. (CRD#: 2739167, Los Angeles, California). In fact, the Financial Industry Regulatory Authority (“FINRA”) shows that 23 investors have filed disputes about the sales practices of the securities broker, who worked for securities […]

August 9, 2020
FINRA Investigating Harry Datys

FINRA Investigates Whether Westpark Capital's Harry Datys Sold Unsuitable And Misrepresented Investments Soreide Law Group is reviewing potential lawsuits on behalf of investors against securities broker Harry Datys (CRD#: 1877750, New York, New York). Apparently, Financial Industry Regulatory Authority (“FINRA”) recommends disciplinary action against the securities broker, who worked for Westpark Capital from June 10, […]

August 7, 2020
Curt Howard Allegedly Breaches Fiduciary Duty

Securities Broker Curt Howard Allegedly Caused Investor Losses Soreide Law Group is reviewing whether to take legal action on behalf of investors against securities broker Curtis Lee Howard (CRD#: 1390753, Sapulpa, Oklahoma). Mainly, FINRA BrokerCheck shows that the securities broker is involved in two investment disputes. Not only that, but Edward Jones – Howard’s employer […]

April 9, 2020
ROBERT GIANCHIGLIA’s Clients Complain

Ameritas Broker Robert Gianchiglia Purportedly Misrepresents Facts Relating To Securities Transactions Investors are voicing complaints and serious concerns in regard to securities broker Robert Gianchiglia [CRD#: 2117250, Worcester, Massachusetts]. Evidently, Gianchiglia worked for Ameritas Investment Corp. between August 2005 and May 2017 and joined USA Financial Securities Corporation in April 2017. Notably, Gianchiglia discloses six […]

February 29, 2020
Investors File Disputes About JOHN CONROY

Andrew Garret Clients Indicate John Conroy Was Negligent, Breached Fiduciary Duty Soreide Law Group is reviewing possible investor claims against securities broker John Conroy (CRD#: 3008995, New York, New York). Apparently, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck shows that at least 6 clients raised serious concerns about the securities broker who worked for Andrew Garrett […]

February 24, 2020
JIMMY JACOBS Cause Your Losses?

Broker Jimmy Jacobs Allegedly Concealed Annuity Information Soreide Law Group is reviewing possible investor disputes against AXA Advisors securities broker James “Jimmy” Allen Jacobs (CRD#: 256420, Chesterfield, Virginia). Not only has Virginia State Corporation Commission imposed special supervisory procedures seemingly because of Jacobs’ transgressions in the industry, but at least 5 clients raised serious concerns […]

January 24, 2020
SEC Bars Richard Cody For Fraud

SEC Bars Richard Cody After He Pleads Guilty To Investment Adviser Fraud Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports alarming information in regard to securities broker Richard Cody [CRD#: 2794558, Spring Lake, New Jersey]. Not only has the Securities and Exchange Commission (“SEC”) and Financial Industry Regulatory Authority (“FINRA”) both barred the securities […]

January 22, 2020
JOEL BURSTEIN Barred By SEC

SEC Bars Raymond James's Joel Burstein Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports troubling information in regard to securities broker Joel Burstein [CRD#: 3257591, Coral Gables, Florida]. Not only has the Securities and Exchange Commission (“SEC”) barred Burstein for allegedly helping to misappropriate client funds, but at least 7 clients took issue with […]

January 21, 2020
Carleton Boothe Allegedly Breaches Duty

IAA Broker Carleton Boothe Possibly Breached A Fiduciary Duty To Investors Evidently, investors are coming forward with disputes concerning securities broker Michael “Carleton” Boothe [CRD#: 2160227, Fort Lauderdale, Florida]. Apparently, the securities broker, who associated with International Assets Advisory from 2014 to 2018, reports 2 investor disputes on Financial Industry Regulatory Authority (“FINRA”) BrokerCheck. Notably, […]

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