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May 9, 2022
Mark Potocsny Involved In Morgan Stanley Investor Dispute

Morgan Stanley Clients, AG Edwards Clients Bring Investment Disputes Concerning Mark Potocsny Investment loss recovery counsel at Soreide Law Group provides this update on securities broker Mark Julius Potocsny (CRD#: 2417184, Cheshire, Connecticut), who discloses information about investor disputes on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Particularly, Potocsny, who worked for securities firms Morgan Stanley […]

February 24, 2022
Peter David In Woodbury Investors’ Suitability Disputes

Woodbury Financial Clients Allege Sales Practice Violations By Broker Peter David The Financial Industry Regulatory Authority (FINRA) BrokerCheck contains important information regarding securities broker Peter Werner David (CRD#: 1133608, Waukesha, Wisconsin). Namely, David, who worked for Woodbury Financial Services from February 2009 to July 2018, is involved in two client disputes. Notably, investors allege sales […]

October 16, 2021
Chad White Losses?

Barrett Company Clients Take Issue With Securities Broker Chad White The Financial Industry Regulatory Authority (“FINRA”) indicates through BrokerCheck that investors challenged the sales practices of Barrett Company securities broker Charles Edward White II “Chad White” (CRD#: 1345688, Providence, Rhode Island). Namely, seven investors disputed White’s actions. Allegations include unsuitability and misrepresentation. And Massachusetts Securities […]

May 2, 2021
David Paton Involved In Suitability Disputes

Securities Broker David Paton Involved In Disputes From RBC Capital Markets Clients The Financial Industry Regulatory Authority (“FINRA”) reveals troubling information in regard to securities broker David Kallman Paton (CRD#: 1746167, Woodbury, Minnesota). Notably, the securities broker, who worked for securities firm RBC Capital Markets LLC, is involved in three investor disputes – two involving […]

March 23, 2020
CORONAVIRUS Related Investment Losses?

Your Securities Broker Or Financial Advisor Might Have Caused Your Coronavirus (Covid-19) Related Investment Losses Soreide Law Group is examining potential lawsuits on behalf of investors against their brokers, financial advisors and respective financial institutions who possibly advised those investors to purchase unsuitable or misrepresented investments that have since plummeted in value because of the […]

March 8, 2020
GUY MAGARELLI Allegedly Made Unsuitable Trades

Newbridge Clients Take Aim At Guy Magarelli For Allegedly Making Unsuitable Trades Soreide Law Group is investigating potential investor actions to recover losses caused by securities broker Gaetano “Guy” Magarelli [CRD#: 2227996, Boca Raton, Florida]. Notably, Financial Industry Regulatory Authority (“FINRA”) BrokerCheck reports that no less than 6 clients contested the securities recommendations or sales […]

January 13, 2020
THOMAS KELLY Unauthorized Trading Disputes

National Securities Corp Clients Indicate Thomas Kelly Made Unauthorized Trades Investor disputes are piling on for securities broker Thomas Kelly (CRD#: 2877415, New York, New York). Specifically, Financial industry Regulatory Authority (“FINRA”) shows that no less than 13 investors disputed Kelly’s sales practices. Notably, these investor disputes, which primarily come from clients of National Securities […]

January 7, 2020
TRAVIS LIPPMANN Misrepresentation Disputes

Investors Suggest That Dawson James' Travis Lippmann Misrepresented Investments The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations of misconduct against prior Dawson James securities broker Travis Lippmann (CRD#: 5908823, New York, New York). Evidently, at least two of Lippmann’s clients at Dawson James came forward to dispute his sales practices. Notably, these disputes indicate […]

January 15, 2016
Attorney Lars Soreide of Soreide Law Group Quoted in National Publication

The following article appeared in “Financial Planning” on January 13th., 2016, and quotes Lars Soreide, Esq. of Soreide Law Group. This is a portion of that article: “Barred Advisor’s $2M Ponzi Scheme Pits Ex-Client Against Firm By Andrew Welsch January 13, 2016 Last year authorities charged a now-barred advisor with running a $2 million Ponzi […]

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