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November 18, 2021
Bill Sines (SII, Berthel Fisher) Faces Investor Disputes

Investor Disputes About Bill Sines Allege Unsuitable Transactions At SII Investments, Berthel Fisher Soreide Law Group is investigating whether to bring potential investor disputes against securities broker William Charles Sines (Bill Sines) (CRD#: 2190586, Seminole, Florida). Evidently, Sines worked for securities firms, including SII Investments (1997 to 2015), Kalos Capital (2015 to 2018), and Berthel […]

October 21, 2021
Michael Henschel Facing LPL Financial Investor Complaints

LPL Clients Complain About Securities Broker Michael Henschel's Annuity, REIT Transactions Soreide Law Group comes to you with some helpful information in regard to securities broker Michael James Henschel (CRD#: 3112890, Stevens Point, Wisconsin). Specifically, the securities broker, who has worked as both an LPL Financial advisor and securities broker since October 2011, is involved […]

October 5, 2021
Mark Katz Involved In Investor Disputes

Clients Dispute Sales Practices Of Hilltop Securities Broker, Financial Advisor Mark Katz The Financial Industry Regulatory Authority (FINRA) reports that investors filed disputes concerning securities broker Mark Katz (CRD#: 3055019, San Diego, California). Evidently, Katz worked as a financial advisor and a securities broker with Hilltop Securities Inc. in San Diego, California from December 2008 […]

September 26, 2021
Moody National REIT II Losses?

Did You Suffer Losses By Investing In Moody National REIT II? Soreide Law Group is investigating potential investor lawsuits against financial advisors or securities brokers who may have sold or recommended investments in Moody National REIT II Inc. Namely, in August 2021, the Board of Directors of this non-traded REIT suspended the valuation of its […]

June 9, 2021
NorthStar Healthcare REIT Investor Losses?

NorthStar Healthcare REIT Investor Losses Because Of Your Financial Advisor Soreide Law Group has come across new information in regard to NorthStar Healthcare Income REIT. Notably, investors may have experienced considerable losses by investing in NorthStar. Here’s some information regarding the REIT, and what you could do if you invested in real estate investment trusts […]

January 17, 2021
Charles Kulch Targeted In Disputes About REITs, Annuities

Broker Charles Kulch Targeted In Investor Disputes, Massachusetts Securities Division Complaint Soreide Law Group is investigating possible investor disputes against securities broker Charles Chester Kulch (CRD#: 2371584, Nashua, New Hampshire). Critically, the securities broker, who worked for NEXT Financial Group from 2006 to 2020, is the focus of at least 10 investors’ disputes. Not only […]

November 13, 2020
Watermark Lodging Trust (WLT) Losses?

Did Your Financial Advisor Recommend Watermark Lodging Trust (WLT)? Soreide Law Group is reviewing possible investor lawsuits against financial advisors and securities brokers who may have recommended Watermark Lodging Trust Inc. Namely, Watermark Lodging Trust suspended dividends, suspended its redemption program, and is trading in the secondary market for a fraction of its offering price. […]

October 7, 2020
FRANK BRISENO Sell you Bad REITs?

FSC Securities Clients Take Aim At Frank Briseno For Bad REITs FINRA discloses troubling information in regard to securities broker Frank Briseno (CRD#: 1177246, Metairie, Louisiana). Notably, the regulator indicates that Briseno has been targeted by at least three investors in disputes about his sales practices. It seems that Briseno might have caused clients' losses […]

June 24, 2020
Dustin Shafer REIT Sales

An arbitration has been filed with the Financial Industry Regulatory Authority (FINRA) against Money Concepts Capital Corp. This claim was filed by an elderly woman who allegedly lost her investment with the Springfield, Illinois location, and broker Dustin Shafer, who was her broker/advisor at the time.  Shafer allegedly recommended to his elderly client that she […]

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