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November 2, 2025
Michael Raineri Barred By FINRA, Tied To Securities America Client Dispute About Misappropriation

FINRA barred securities broker Michael Patrick Raineri [CRD: 4817558, Seattle, Washington], and an investor complained about him, according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Raineri worked for Securities America Inc. from November 6, 2020, to April 18, 2023. Read on to find out more about the disclosures involving Raineri. FINRA […]

May 20, 2025
Chris Toomey Facing JP Morgan Client Dispute Concerning Omissions

One or more investors apparently complained about securities broker Chris Toomey (also known as Paul Christian Toomey) [CRD: 4560193, Sugar Land, Texas], based on disclosures through FINRA’s BrokerCheck. Evidently, Chris Toomey has been registered with J.P. Morgan Securities LLC since September 1, 2021, as a broker, and since October 12, 2021, as an investment adviser. […]

September 21, 2023
Securities Broker Billy Stanage Barred

Soreide Law Group is currently investigating potential claims on behalf of investors who have incurred losses due to the actions of Billy Pascal Stanage Jr. (also known as Billy P. Stanage) (CRD: 4450674, Rio Rancho, New Mexico). Stanage worked for Commonwealth Financial Network from December 4, 2019, to March 7, 2023. He previously worked for […]

September 23, 2022
Investors File Disputes About Alan Douglass

Soreide Law Group is investigating possible investor claims against securities broker Alan Duane Douglass, AKA Roof Douglass [CRD#: 1619835, Clearwater, Florida]. Specifically, FINRA BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Securities America and Investacorp. Evidently, one or more clients allege sales practice violations in these disputes, including […]

October 1, 2020
Jaime Westenbarger's Actions Disputed By Investors

Securities America Client Brings Lawsuit Over Jaime Westenbarger's Purported Negligence Investor Alert! Clients of securities broker Jaime Michael Westenbarger (CRD#: 4625703, Grand Rapids, Michigan) have sued because of Westenbarger’s sales practices. Notably, Financial Industry Regulatory Authority (FINRA) shows that a whopping 8 investors brought disputes about the securities broker, who worked for firms including First […]

August 27, 2019
FINRA Bars BOBBY COBURN

FINRA Bars Bobby Coburn The Financial Industry Regulatory Authority (“FINRA”) announced August 26, 2019 that it barred Securities America broker Bobby Coburn (CRD#: 1464789, Fort Meade, Florida) from the securities industry for non-cooperation in a FINRA investigation. Evidently, the broker, who Securities America discharged on March 20, 2019 after allegations of misconduct, executed a Letter […]

March 21, 2019
INVESTOR ALERT: Misconduct Allegations Against Securities America Brokers THOMAS ABBOUD, KENNETH FOREMAN, ROBERT MITCHELL JR.

INVESTOR ALERT: Misconduct Allegations Against Securities America Brokers THOMAS ABBOUD, KENNETH FOREMAN, ROBERT MITCHELL JR. Securities America, Inc. (CRD#: 10205, Lavista, Nebraska), which is a brokerage firm regulated by FINRA’s Kansas City district office, revealed through FINRA BrokerCheck that several of its brokers allegedly engaged in conduct that could have both run afoul of FINRA […]

December 28, 2018
Securities America Customers Allege Unsuitability, Fraud

Securities America Customers Allege Unsuitability, Fraud Soreide Law Group is investigating claims on behalf of those who purchased investments from Securities America Inc. brokers Wesley Scott Wilt, John Stanley Roginski and Thomas Keith Wormsley. Securities America, Inc. (CRD#: 10205, Lavista, Nebraska) is a brokerage firm regulated by Financial Industry Regulatory authority. FINRA BrokerCheck shows that […]

November 26, 2018
Customers Contend Jaime Michael Westenbarger Sold Unsuitable Products

Customers Contend Jaime Michael Westenbarger Sold Unsuitable Products Jaime Michael Westenbarger (CRD#: 4625703, Grand Rapids, Michigan) is a Securities America, Inc. registered representative who has disclosed on his Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report that customers have complained about his sales practices. The following customers have lodged customer-initiated investment-related disputes concerning, among other things, […]

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