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October 10, 2023
Ameriprise Investors Dispute Scott Roslonowski

Soreide Law Group is conducting an investigation into the actions of Scott J. Roslonowski (CRD: 4795893, Indian Harbour Beach, Florida), specifically focusing on potential claims on behalf of investors who may have suffered losses. Roslonowski works for Ameriprise Financial Services, LLC as of October 5, 2009, and operates out of the firm's Indian Harbour Beach, […]

December 7, 2021
Jason Poff Sanctioned, Involved In LPL Client Dispute

Securities Broker Jason Poff Sanctioned By FINRA, Accused Of Sales Practice Violations By LPL And Chase Clients Financial Industry Regulatory Authority (FINRA) BrokerCheck, which houses important information about securities brokers, contains new disclosures regarding securities broker Jason Howell Poff (CRD#: 4078570, Houston, Texas). Specifically, FINRA issued Poff a fine and suspension for alleging engaging in […]

August 17, 2021
Richard Rodriguez Faces Concorde Investor Disputes

Concorde Investment Services Clients Dispute DPP, REIT Sales Practices Of Broker Richard Rodriguez The Financial Industry Regulatory Authority (“FINRA”) reports six investor disputes on the record of securities broker Richard Anthony Rodriguez Jr. (CRD#: 2973254, Fruitland Park, Florida). It appears that one or more of these investors alleges that Rodriguez’s actions at Charles Schwab and […]

July 26, 2017
Former Newbridge Securities Broker, AUSTIN R DUTTON JR, Fined $200,000 by Pennsylvania Department of Banking and Securities

AUSTIN RICHARD DUTTON JR (AUSTIN R DUTTON JR) CRD#: 2739167   a broker from the Philadelphia area, was fined $200,000 by the Pennsylvania Department of Banking and Securities on Monday, July 24, 2017.  They cited alleged "dishonest or unethical practices in the securities business." The Financial Industry Regulatory Authority, Inc. (FINRA) reported on their BrokerCheck […]

December 12, 2014
What is a REIT?

A REIT, Real Estate Investment Trust, is a company that owns, finances, and in the majority of cases, operates income-producing real estate. They can be publically traded, private, or public but not listed. The two main types of REITs are 1) Mortgage REITs which deal in investment and ownership of property mortgages. The revenue is […]

December 20, 2013
Maryland Broker Barred by FINRA Over Sale of Non-Traded REITs

Gary Chackman, a former LPL Financial broker, was barred last week by the Financial Industry Regulatory Authority Inc.(FINRA) for several violations of securities industry rules, including falsifying documents, related to the sale of nontraded real estate investment trusts(nontraded REITS) from 2009 to 2012. In a December 19th InvestmentNews article, Bruce Kelly writes that nontraded REITs […]

December 20, 2013
Maryland Broker Barred by FINRA Over Sale of Non-Traded REITs

Gary Chackman, a former LPL Financial broker, was barred last week by the Financial Industry Regulatory Authority Inc.(FINRA) for several violations of securities industry rules, including falsifying documents, related to the sale of nontraded real estate investment trusts(nontraded REITS) from 2009 to 2012. In a December 19th InvestmentNews article, Bruce Kelly writes that nontraded REITs […]

February 11, 2013
FINRA Filings from Conservative Investors Who Were Sold Complex Products is on the Rise

Financial regulators are confronting investor frauds that are giving retirement savers steep losses on complex products that until a few years ago were aimed only at the most sophisticated investors, writes Nathaniel Popper in a New York Times article from Feb. 11, 2013. These victims are among the millions of Americans whose mutual funds and […]

January 9, 2013
LPL Sued over Nontraded REIT Sales by Massachusetts

Massachusetts securities regulators sued LPL Financial, LLC, in December over sales practices of brokers regarding the REITs. Secretary of the Commonwealth, William Galvin, charged LPL Financial with a failure to supervise registered reps who sold the nontraded REITs in violation of both state limitations and the company's rules. The Securities Division also charged LPL Financial […]

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