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August 8, 2023
FINRA Sanctions Steven Bellino

Soreide Law Group is investigating possible investor claims against Steven Albert Bellino (CRD: 1278531, Woodbury, New York). Notably, FINRA sanctioned the securities broker, who worked for Equitable Advisors LLC. Allegedly, Bellino engaged in private securities transactions. Here is a brief summary of FINRA’s allegations against Bellino. Steven Bellino Sanctioned By FINRA For Private Securities Transactions […]

March 20, 2023
FINRA Sanctions Jasmit Singh

Soreide Law Group is investigating possible investor claims against Jasmit Singh (also known as Jasmit Singh) (CRD: 6483304, New York, New York). Evidently, FINRA sanctioned the securities broker, who worked for J.P. Morgan Securities LLC. Allegedly, Singh engaged in private securities transactions and engaged in an undisclosed outside business activity. Here is a brief summary […]

October 18, 2022
Tom Holly Facing Investor Suitability Complaints

Soreide Law Group is investigating possible investor claims against securities broker John Thomas Holly AKA Tom Holly [CRD#: 1713313, Boca Raton, FL]. Holly has worked for (1) B. Riley Wealth Mgmt. since 2022; (2) B. Riley Wealth Advisors Inc. since 2004; and (3) National Securities Corporation from 2004-2022. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck […]

March 2, 2021
Trevor Rahn Unauthorized Trading Disputes

Broker Trevor Rahn Targeted In JP Morgan Securities Investors' Disputes Soreide Law Group is investigating potential investor disputes to be filed against securities broker Trevor Bradner Rahn (CRD#: 2196155, Los Angeles, California). Evidently, this securities broker worked for securities firm JP Morgan Securities LLC from 2010 to 2018 until they disaffiliated with him over his […]

August 16, 2018
Massachusetts Regulator Investigates Firms Selling Private Placements

Massachusetts Regulator Investigates Firms Selling Private Placements Secretary of the Commonwealth of Massachusetts, William Francis Galvin, announced in a public statement on July 2, 2018 that his office will be conducting an inquiry into ten brokerage firms within the state of Massachusetts that sell private placements out of concern that the investments are being sold […]

November 18, 2013
Miami Firm Fined and Censured by FINRA Over Private Placements

The following summation was obtained from FINRA’s website under “Disciplinary and Other FINRA Actions, November, 2013.” Martinez-Ayme Financial Group Incorporated dba Martinez-Ayme Securites (CRD #109838, Miami, Florida) was censured and fined $25,000. Without admitting or denying the findings, the firm consented to the described sanctions and to the entry of findings that an issuer raised […]

November 18, 2013
Miami Firm Fined and Censured by FINRA Over Private Placements

The following summation was obtained from FINRA’s website under “Disciplinary and Other FINRA Actions, November, 2013.” Martinez-Ayme Financial Group Incorporated dba Martinez-Ayme Securites (CRD #109838, Miami, Florida) was censured and fined $25,000. Without admitting or denying the findings, the firm consented to the described sanctions and to the entry of findings that an issuer raised […]

March 19, 2013
Rep Fined and Suspended by FINRA for Commingling Funds

Soreide Law Group, PLLC, a Securities Arbitration Law Firm, (888) 760-6552, found the following information on FINRA’s website under “Disciplinary and Other FINRA Actions, March, 2013.” Robert Keith Brooks aka Robert Keith Stuart (CRD #1571789, Registered Principal, Miami, Florida) was fined $7,500 and suspended from association with any FINRA member in any capacity for two […]

February 12, 2013
LPL REIT INVESTORS WARNING!!!!

In an article in the Wall Street Journal, Feb. 11, 2013, Matthew Heimer writes that ever since the Federal Reserve started pushing interest rates to new lows, it’s been a common theme for retirees and other conservative investors accepting more risk to get a decent income from their portfolios. Last week LPL Financial Holdings agreed […]

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