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May 21, 2025
Christopher Campbell (Raymond James) Focus Of Client Misrepresentation Dispute

One or more investors apparently complained about securities broker Christopher William Campbell (also known as Chris Campbell and Christopher W. Campbell) [CRD: 5597534, Buffalo, New York], based on disclosures through FINRA’s BrokerCheck. Evidently, Campbell has been registered with Raymond James Financial Services Inc. since November 6, 2017, and with Raymond James Financial Services Advisors Inc. […]

May 8, 2025
Kelly Dale Connected To American Capital Partners Client Arbitration Re: Omissions

One or more investors apparently complained about securities broker Kelly Eugene Dale [CRD: 2711340, Atlanta, Georgia], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Dale has been registered with American Capital Partners LLC (CRD#: 119249), located at 6000 Lake Forrest Drive N.W., Suite 325, Atlanta, Georgia, since February 1, 2013. Evidently, Kelly Dale […]

April 24, 2025
Rita Mansour Facing Client Disputes Concerning Unsuitable Advice

Investors might have sustained losses due to securities broker Rita Mansour [CRD: 1968418, Toledo, Ohio], according to disclosures on FINRA BrokerCheck. It appears that Rita Mansour has been registered with McDonald Partners LLC since September 15, 2006, both as a broker and as an investment adviser. Keep reading to learn more about the disclosures involving […]

January 19, 2025
Anida Venniro: Regulatory Sanctions by FINRA and Allegations of Misrepresentation

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Anida Venniro (also known as Enida Kerciku, Enida Venniro) [CRD#: 5121189, Orlando, Florida]. Anida Venniro worked for Ameriprise Financial Services, LLC from March 2021 to June 2024 and previously held positions at LPL Financial LLC, among others, during her 17-year career. Recent disclosures reveal […]

January 13, 2025
Bryce Hamilton Client Files Dispute for Alleged Unsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Bryce Austin Hamilton (also known as Bryce Hamilton) [CRD: 4296113, Cornelius, North Carolina]. Bryce Hamilton worked for several prominent firms, including LPL Financial LLC from July 2024 to October 2024, and CliftonLarsonAllen Wealth Advisors, LLC from November 2023 to May 2024. His 22-year securities […]

August 9, 2021
Vincent Villani Private Placement Disputes

Two National Securities Corporation Clients File Disputes About Vincent Villani's Private Placement Sales Soreide Law Group provides you with the following update regarding securities broker Vincent John Villani (CRD#: 4296670, New York, New York). Evidently, Villani worked for securities firms Joseph Gunnar Company LLC (2012 to 2014) and National Securities Corporation (2014 to present). Notably, […]

March 16, 2021
Randy Birkinbine Facing Investor Suitability Disputes

Broker Randy Birkinbine Is Involved In Investor Dispute Alleging Unsuitable Transactions Investors continue to come forward in dispute of securities broker Randy Lee Birkinbine (CRD#: 2008599, North Oaks, Minnesota). Namely, Birkinbine, who presently works as a broker and financial planner of Ausdal Financial Partners, discloses four investor disputes. Notably, his clients allege that he committed […]

October 1, 2020
Joseph Fuller Spartan Capital Client Disputes

Spartan Broker Joseph Fuller Allegedly Sold Unsuitable Investments Investor Alert! The Financial Industry Regulatory Authority (FINRA) reports troubling allegations of misconduct by securities broker Joseph Patrick Fuller (CRD#: 5277097, New York, New York). Notably, two of Fuller’s employers parted ways with him for his bad behavior. Not only that, but two clients brought complaints about […]

September 26, 2020
Peter Janssen Sell You Mega Blockchain?

Katalyst Broker Peter Janssen Seemingly Sells Bad Mega Blockchain Investments A couple investors appear to be sounding the alarm in regard to securities broker Peter Kyle Janssen (CRD#: 5691028, Fairfield, IA). Namely, the Financial Industry Regulatory Authority (“FINRA”) reports through BrokerCheck that investors’ disputes suggest sales practice violations by the securities broker, who worked for […]

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