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May 13, 2022
Miaojun Yuan Involved In Questar Investor Dispute

Sales Practice Violations Alleged In Investor Dispute About Broker Miaojun Yuan Soreide Law Group discusses the FINRA BrokerCheck disclosures on securities broker Miaojun Yuan (CRD#: 4014807, City of Industry, California). Evidently, Yuan worked as a securities broker or financial advisor for Questar Capital Corporation from 2007 to 2019. For more information, read the following summary […]

May 4, 2022
Brandon Stalcup Involved In Magann Client Dispute

Securities Broker Brandon Stalcup Involved In Magann Capital Client's Dispute About Unsuitable, Unauthorized Transactions Soreide Law Group is reviewing BrokerCheck disclosures on Michael Brandon Stalcup (CRD#: 4024498, Little Rock, Arkansas). Namely, the broker discloses information about a possible regulatory action and an investor dispute. Evidently, Stalcup worked for MSI Financial Services (2008 to 2017). Also, […]

April 12, 2022
Gary Begnaud Subject Of Unauthorized Trading Dispute

Securities Broker Gary Begnaud (Merrill Lynch) Involved In Investor Complaint The Financial Industry Regulatory Authority (FINRA) reports new information in regard to securities broker Gary Begnaud (CRD#: 865927, Mount Laurel, New Jersey). Evidently, Begnaud worked for Merrill Lynch (1982 to 2020) as a securities broker and financial advisor. He joined Janney Montgomery Scott in 2020. […]

April 9, 2022
RJ Bernstein In Wells Fargo Client Complaints

Broker RJ Bernstein (Morgan Stanley, Wells Fargo) Faces Investor Allegations Of Sales Practice Violations Soreide Law Group is reviewing investor disputes against securities broker Richard Jay “RJ” Bernstein (CRD#: 1113777, Los Angeles, California). Evidently, Bernstein worked for securities firms Merrill Lynch, Bear Stearns, Prudential Securities, Salomon Smith Barney, UBS Financial Services, Morgan Stanley, and Wells […]

April 8, 2022
Douglas Ellman In Shearson Client Trading Disputes

Shearson Financial Clients Voice Concerns About Broker Douglas Ellman's Trading Practices The Financial Industry Regulatory Authority (FINRA) provides new information regarding securities broker Douglas Keith Ellman (CRD#: 1673088, Boca Raton, Florida). Namely, the securities broker, who worked for Shearson Financial Services beginning in June 2003, is involved in three investor disputes where investors allege sales […]

April 1, 2022
Brian Jackson In David Lerner Investor Disputes

Broker Brian Jackson (David Lerner Associates) Faces Investor Disputes The Financial Industry Regulatory Authority (FINRA) reports investor dispute information on BrokerCheck regarding securities broker Brian Michael Jackson (CRD#: 4733834, White Plains, New York). Evidently, Jackson worked for securities firm David Lerner Associates from 2004 to 2018 and became a Wells Fargo securities broker and financial […]

March 26, 2022
Thomas Boley Hunt Facing Wells Fargo Investor Dispute

Securities Broker Thomas Hunt (Wells Fargo) Involved In Investor Dispute Alleging Sales Practice Violations Soreide Law Group comes to you with new information regarding securities broker Thomas Boley Hunt (CRD#: 1323743, Twin Falls, Idaho). Before joining LPL Financial LLC as a financial advisor and securities broker in August 2018, Hunt worked for securities firms Wells […]

February 5, 2022
Paul Antevy (FMSbonds) Entangled In Investor Disputes

Securities Broker Paul Antevy Involved In FMSbonds Client Disputes The Financial Industry Regulatory Authority (FINRA) contains new information concerning securities broker Paul Itzchak Antevy (CRD#: 2713105, North Miami Beach, Florida). It appears that Antevy joined FMSbonds Inc. in March 2003, and two clients of FMSbonds disputed Antevy’s sales practices. In addition, Antevy is involved in […]

February 1, 2022
Howard Allen (Portfolio Advisors Alliance) Facing Disputes

Portfolio Advisors Alliance Client Alleges Sales Practice Violations By Broker Howard Allen Soreide Law Group comes to you with important information about securities broker Howard Joseph Allen (CRD#: 2033586, New York, New York). BrokerCheck confirms that Allen worked as a securities broker for Portfolio Advisors Alliance LLC from January 2009 to December 2019. So far […]

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