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February 8, 2026
Sergio Kindler Involved In Royal Alliance Associates Investor Dispute About Unsuitable Advice

Investors potentially incurred losses because of securities broker Sergio Kindler [CRD: 1690597, Jericho, New York], according to public information located on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Sergio Kindler has been registered with Osaic Wealth Inc. since February 24, 2022, and previously worked for LPL Financial LLC from February 14, 2018, through March 23, 2022. […]

July 7, 2025
Jeremy Benson Linked To NYLIFE Securities Client’s Allegations

Investors supposedly complained about securities broker Jeremy Matthew Benson [CRD: 6249020, San Antonio, Texas], based on publicly available information reported on FINRA BrokerCheck. Jeremy Benson worked for NYLIFE Securities LLC from April 23, 2014, to February 29, 2024. Read on to learn more about the disclosures involving Benson, including investor allegations and the circumstances surrounding […]

February 25, 2025
Scott Taubman Facing FINRA Sanctions and Client Dispute

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Scott Willard Taubman (also known as Scott W. Taubman, Scott Taubman) [CRD: 4809824, Peoria, Arizona]. Taubman previously worked for several brokerage firms, including Ameriprise Financial Services LLC from 2017 to 2022. Recent disclosures raise concerns about Taubman’s conduct, including regulatory sanctions and a pending […]

October 18, 2024
Marat Likhtenstein Barred by FINRA Following Termination from Osaic Wealth

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Marat Likhtenstein [CRD: 2470480, Brooklyn, New York]. Evidently, Likhtenstein worked for Osaic Wealth Inc. from November 2, 2018, to June 27, 2024. Keep reading to learn about Likhtenstein’s termination and FINRA's investigation, which resulted in his permanent bar from the industry. FINRA Launches Investigation […]

June 12, 2024
Barred Broker Dustin Shafer Involved In Newbridge Client Dispute

Soreide Law Group is investigating potential investor claims of sales practice violations possibly committed by securities broker Dustin Paul Shafer [CRD: 4198962, Springfield, Illinois], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Dustin Shafer worked for Newbridge Securities Corporation from September 4, 2019, to November 4, 2020, and for Money Concepts Capital […]

November 16, 2021
Bill Woods Sanctioned, Involved In Investor Dispute

Tennessee Securities Division Sanctions Raymond James' Bill Woods Financial Industry Regulatory Authority (FINRA) BrokerCheck contains three disclosures regarding securities broker William Forrest Winchester III (Bill Woods) (CRD#: 4404327, Chattanooga, Tennessee). Notably, Tennessee Securities Division reportedly sanctioned Woods for allegedly failing to disclose loans with Raymond James clients. It appears that Raymond James terminated Woods as […]

October 19, 2021
Hector Ramos Suspended Twice By FINRA

FINRA Issues Suspension To Broker Hector Ramos To Resolve Allegations Of Unsuitable Recommendations Financial Industry Regulatory Authority ("FINRA") BrokerCheck provides you with important information about securities broker Hector Ramos (CRD#: 4172477, Brandon, South Dakota). Notably, FINRA sanctioned Ramos twice, and an investor complained about him. Here's more. FINRA Suspends Hector Ramos In 2020 For Allegedly […]

May 2, 2021
David Volpe Expelled By FINRA, Involved In Dispute

Investor Files Dispute About Barred Broker David Volpe Soreide Law Group is evaluating possible investor claims against securities broker David John Volpe (CRD#: 2543478, Scottsdale, Arizona). Evidently, the securities broker last worked for First Financial Equity Corporation (2019). He also worked for LPL Financial LLC (2017 to 2018) and National Planning Corporation (2009 to 2017). […]

April 22, 2020
GREG LEVINE Allegedly Fails To Repay Clients

Barred Broker Greg Levine Allegedly Failed To Repay Multiple Clients Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports alarming information in regard to securities broker Gregory Alan Levine [CRD#: 2401300, Fort Lauderdale, Florida]. He worked for First Allied Securities Inc. between July 6, 2012 and July 10, 2017. Notably, at least 10 clients brought […]

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