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August 4, 2020
IAN DELIZ Give You Bad Advice?

Morgan Stanley Broker Ian Deliz Possibly Gave Unreasonable Advice To Clients Regarding Investments The Financial Industry Regulatory Authority (“FINRA”) reports alarming allegations of misconduct by securities broker Ian M. Deliz Morales (CRD#: 4697350, Tampa, Florida). Namely, an astounding 28 clients have filed lawsuits or complaints about the securities broker, who worked for Morgan Stanley in […]

May 27, 2020
ANGEL AQUINO-VELEZ Suitability Disputes

Morgan Stanley Clients Suggest Broker Angel Aquino-Velez Sold Unsuitable Puerto Rico Bonds The investor disputes continue to add up for securities broker Angel Edgardo Aquino-Velez (CRD#: 2687333, Miami, Florida). Namely, FINRA BrokerCheck shows that the securities broker, who worked for Morgan Stanley from 2010 to 2017, seemingly caused losses to 26 or more investors from […]

February 1, 2020
JUAN GOYTIA Investment Losses?

UBS Broker Juan Goytia Discloses 89 Investor Disputes Soreide Law Group is reviewing possible claims of sales practice violations by Juan Goytia (CRD#: 4473937, San Juan, Puerto Rico). Namely, the Financial Industry Regulatory Authority (“FINRA”) reports that the securities broker, who worked for UBS from February 14, 2002 to July 27, 2018, is entangled in […]

January 21, 2020
Eric Stubbe Investment Losses?

Santander Clients Take Issue With Eric Stubbe's Investment Recommendations Soreide Law Group is investigating potential investor claims of bad securities business practices by securities broker Eric Stubbe [CRD #: 1499212, Dorchester, Massachusetts]. Notably, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck reports that no less than 19 clients contested the securities recommendations or sales of the securities […]

January 14, 2020
JAIME ECHANDI Allegedly Sold Unsuitable Bonds

Santander Securities' Jaime Echandi Allegedly Sold Bad Puerto Rico Bonds And Funds The Financial industry Regulatory Authority (“FINRA”) reports myriad investors disputing the sales practices of former Santander Securities LLC broker Jaime Echandi (aka “Jaime Santiago”) (CRD#: 2464033, Guaynabo Puerto Rico). Specifically, his BrokerCheck report shows that 23 investors complained since 2014, with most disputes […]

August 29, 2019
DARIO SUAREZ Puerto Rico Bond Losses?

DARIO SUAREZ Losses? Soreide Law Group is investigating possible investor claims against UBS Financial Services securities representative and sales supervisor Dario Suarez (CRD#: 1143417, Ponce, PR). Alarmingly, FINRA BrokerCheck reports 72 investor claims regarding Suarez’s sales practice violations. Investors brought a steadily increasing amount of disputes against Suarez since 2014 regarding unsuitable Puerto Rico bonds. […]

July 20, 2019
HECTOR MARTINEZ Sell You Puerto Rico Bonds?

HECTOR MARTINEZ Sell You Unsuitable Or Misrepresented Puerto Rico Investments? The Financial Industry Regulatory Authority (“FINRA”) reports 15 client complaints associated with prior UBS Financial Services securities broker Hector Martinez (CRD#: 2533545, San Juan, Puerto Rico). Particularly, clients brought complaints or FINRA Arbitrations to contest Martinez’s sales practices. Here’s a summary of some of those […]

November 9, 2017
Puerto Rico's Economy Goes From Bad to Worse after the Hurricane

A recent article by Schwab discusses how Puerto Rico's Economy, since the hurricane, is now going from bad to worse. Some of the reasons outlined in the article were:  Puerto Rico’s debt restructuring process will take longer which will result in lower recovery values less than originally expected.  Schwab does not feel that Puerto Rico’s […]

May 20, 2015
FINRA Orders UBS AG to Buy Back Investor's Puerto Rico Bond Fund for $1 Million

UBS AG was ordered by the Financial Industry Regulatory Authority (FINRA) to buy back an investor's Puerto Rico bond fund for $1 million. A San Juan FINRA arbitration panel found two UBS units liable to the 66+ year-old investor whose losses were $737,000 only four years after he opened his account in 2011. This FINRA […]

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