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June 21, 2024
Joey Miller Facing DAI Client Dispute About Suitability

Soreide Law Group is investigating potential investor claims of sales practice violations possibly committed by securities broker Joey Dale Miller [CRD: 6175826, New Braunfels, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Joey Miller worked for Arete Wealth Advisors LLC from October 27, 2014, to November 2, 2023, and for Arete […]

January 15, 2024
UBS Investors’ Misrepresentation Claims Involve Mark Elias

Soreide Law Group is investigating potential claims on behalf of investors who have incurred financial losses due to the actions of Mark Steven Elias (CRD#: 2938707, Houston, Texas). Elias, who has been registered with UBS Financial Services Inc. since January 31, 2003, is involved in investor disputes that have alleged investment-related misconduct. The focus of […]

December 19, 2023
Patrick Mendenhall Facing USCA Securities Investor Disputes

Soreide Law Group is investigating potential claims on behalf of investors who may have incurred losses due to the actions of Patrick Michael Mendenhall (CRD#: 1068809, Houston, Texas). Evidently, Mendenhall works with USCA Securities LLC since April 20, 2010, and with U.S. Capital Wealth Advisors LLC since June 30, 2021. Previously, he worked with USCA […]

September 20, 2023
Investigation Into Securities Broker Anthony Gallea

Soreide Law Group is presently investigating potential claims on behalf of investors who may have sustained financial losses due to the actions of securities broker Anthony Michael Gallea (also known as Anthony Gallea) (CRD: 713980, Hendersonville, North Carolina). Gallea has been registered with Morgan Stanley since June 1, 2009, as a securities broker and financial […]

January 25, 2023
Investors File Disputes About Andrew Schell

Soreide Law Group is investigating possible investor claims against securities broker Andrew Schell (also known as Andrew David Schell) (CRD:  6536347, Colorado Springs, CO). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for D.A. Davidson Co. Evidently, one or more investors alleged that […]

June 10, 2022
Corey White Involved In WIS Investor’s Dispute

Securities Broker Corey White Involved In Western International Securities Client Dispute About Supervision The Financial Industry Regulatory Authority (FINRA) contains important information regarding securities broker Corey Andrew White (CRD#: 4537015, Pasadena, California). Evidently, White was a financial advisor and securities broker with Financial West Group from 2002 to 2017. He joined Western International Securities in […]

February 11, 2022
Regulator Fines McNally Financial For Failure To Supervise

FINRA Sanctions McNally Financial For Failing To Supervise NT-ETPs, Options Trading FINRA sanctioned McNally Financial Services Corporation (CRD#: 121196, San Antonio, Texas). Notably, the firm violated FINRA rules relating to supervision of non-traditional exchange traded products (NT-ETPs) and options trades. Soreide Law Group provides you with some of the key details about FINRA’s disciplinary action […]

January 16, 2022
Brant Ferguson Facing UBS Investor Disputes

Clients Allege Sales Practice Violations In Disputes About UBS Broker Brant Ferguson The Financial Industry Regulatory Authority (FINRA) contains new disclosures concerning securities broker Brant Christopher Ferguson (CRD#: 2230893, Dallas, Texas). Specifically, two investors filed disputes alleging sales practice violations at UBS Financial Services, who Ferguson joined in May 2019 as financial advisor and securities […]

September 30, 2021
Rawad Alame Suspended As Broker, Involved In Investor Dispute

FINRA Suspends Merrill Lynch Securities Broker Rawad Alame For Options Trading FINRA suspended Merrill Lynch securities broker Rawad Roy Alame (CRD#: 5376696, Raleigh, North Carolina) for a period of six months starting on January 4, 2021 and ending on July 3, 2021 to resolve allegations of his private securities transactions. Alame consented to the suspension […]

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