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January 24, 2014
New York Broker Accused of Securities Fraud of Over $2 Million

Jesse C. Litvak, a bond trader for Jefferies & Company, Inc., New York, has been accused of deceiving clients in order to maximize his profits. The Court documents filed on Jan. 25, 2013 listed the charges against Jesse Litvak as securities fraud by deceiving buyers, major fraud against the United States and false statements to […]

September 23, 2013
Las Vegas Principal Broker Barred by FINRA Regarding Alleged Securities Fraud

Soreide Law Group, a Securities Arbitration Lawfirm, (888) 760-6552, has obtained the following information on FINRA’s website under “Disciplinary and Other FINRA Actions, September, 2013.” Robert Brian Kay (CRD #1133657, Registered Principal, Las Vegas, Nevada) was barred from association with any FINRA member in any capacity. Without admitting or denying the allegations, Kay consented to […]

July 12, 2012
New York Rep Barred by FINRA

Thomas Edward Kelly (CRD #1386403, Registered Principal, Johnson City, New York) was barred from association with any FINRA member in any capacity. Without admitting or denying the findings, Kelly consented to the described sanction and to the entry of findings that he engaged in a scheme to defraud investors, including firm customers, of funds totaling […]

April 20, 2012
Elderly Investors to Receive Only 2.8 cents on the Dollar after Getting Bilked by Insurance Agent

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March 14, 2012
"Why I Am Leaving Goldman Sachs"

  In a recent New York times article, Greg Smith writes about his experience with Goldman Sachs as an executive director and head of the firm’s United States equity derivatives business in Europe, the Middle East and Africa. Here are some excerpts from his article that highlight Goldman Sachs intention to make money off their clients […]

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