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April 6, 2022
Rafael Gonzalez Facing UBS Investor Claims

Broker Rafael Gonzalez Subject Of UBS Financial Investor Disputes The Financial Industry Regulatory Authority (FINRA) contains new information regarding securities broker Rafael Alberto Gonzalez (CRD#: 2096117, Coral Gables, Florida). It appears that Gonzalez worked for securities firms UBS Financial Services and Santander Securities before joining Morgan Stanley. Evidently, he is both a financial advisor and […]

April 2, 2021
Luis Lopez The Focus Of Santander Investor Disputes

Santander Securities Clients File Investment Disputes About Luis Lopez The Financial Industry Regulatory Authority (FINRA) contains troubling information on securities broker Luis Currais Lopez (CRD#: 856211, Dorchester, Massachusetts). The securities broker, who worked for Santander Securities (2010 to 2016) and Herbert J. Sims (2016 to present), is involved in 12 investor disputes. These disputes allege […]

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 […]

September 2, 2019
MARIONDY FERNANDEZ Sell You Bad Bonds?

MARIONDY FERNANDEZ Sell You Bad Bonds? The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations against prior Santander Securities broker Mariondy Fernandez (CRD#: 2391134, Dorchester, Massachusetts). Namely, the securities broker, who worked for Santander Securities from 2005 to 2016, discloses that 32 clients took issue with his sales practices. Here’s a summary of some recent […]

June 8, 2019
WILLIE VALES Allegedly Sold Unsuitable Investments

WILLIE VALES Allegedly Sold Unsuitable Investments The Financial Industry Regulatory Authority (“FINRA”) confirms on BrokerCheck that investors have disputed the sales practices of Santander Securities LLC securities broker Willie Vales (CRD#: 2166601, Conshohocken, Pennsylvania). Namely, at least three clients of Santander Securities LLC, who Vales worked for from 2014 to 2016, filed disputes which suggest […]

January 4, 2019
Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero

Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero Roberto Feria Cestero (CRD#: 3266245, Hato Rey, Puerto Rico) is a prior Santander Securities LLC securities broker. He worked at the dually-registered brokerage firm and investment adviser firm from July 14, 2006 to October 14, 2016. Evidently, many investors have disputed Cestero’s sales practices. Specifically, the […]

August 26, 2013
FINRA Fines Santander Securities $1.8 Million

Kury Calques et al v. Santander Securities, FINRA ID #12-01192 (San Juan, PR, 8/6/2013) - An all-public Panel awarded a total of $1,868,000 to a group of customers who alleged over-concentration of their accounts. According to FINRA's Award Summary on their website, "Claimants asserted the following causes of action: negligence, breach of contract, breach of […]

August 26, 2013
FINRA Fines Santander Securities $1.8 Million

Kury Calques et al v. Santander Securities, FINRA ID #12-01192 (San Juan, PR, 8/6/2013) - An all-public Panel awarded a total of $1,868,000 to a group of customers who alleged over-concentration of their accounts. According to FINRA's Award Summary on their website, "Claimants asserted the following causes of action: negligence, breach of contract, breach of […]

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