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October 5, 2021
Mark Katz Involved In Investor Disputes

Clients Dispute Sales Practices Of Hilltop Securities Broker, Financial Advisor Mark Katz The Financial Industry Regulatory Authority (FINRA) reports that investors filed disputes concerning securities broker Mark Katz (CRD#: 3055019, San Diego, California). Evidently, Katz worked as a financial advisor and a securities broker with Hilltop Securities Inc. in San Diego, California from December 2008 […]

October 1, 2021
Jeffrey Warren Barred, Involved In Oppenheimer Investor Disputes

Oppenheimer Investors File Disputes Alleging Sales Practice Violations By Securities Broker Jeffrey Warren Soreide Law Group provides you with the following update regarding securities broker Jeffrey Warren (CRD#: 2707969, Boca Raton, Florida). It appears that as of May 28, 2021, FINRA barred Warren from acting as a securities broker or associating with a FINRA-member firm. […]

September 4, 2021
Cynthia Komarek Barred, Involved In Investor Disputes

Cynthia Komarek Barred, Involved In Investor Disputes The Financial Industry Regulatory Authority (“FINRA”) has new important information to share regarding securities broker Cynthia Komarek (CRD#: 1188714, Barrington, Illinois). It appears that this securities broker, who worked for firms Wells Fargo Clearing Services (2008 to 2017) and Sagepoint Financial (2017 to 2020), is now barred indefinitely […]

July 16, 2021
Richard Sica Facing Merrill Lynch Client Dispute

Merrill Lynch Client Files Dispute About Richard Sica Investment loss recovery counsel at Soreide Law Group provide you with the following information regarding securities broker Richard Sica (CRD#: 1756940, Ridgefield, Connecticut). Evidently, this person works for Merrill Lynch as both a financial advisor and securities broker. Apparently, there are four investor disputes on Sica’s record, […]

July 6, 2021
Dennis Robberecht In Hilltop Investor Dispute

Hilltop Securities Clients File Disputes About Financial Advisor Dennis Robberecht Financial Industry Regulatory Authority (“FINRA”) shows on BrokerCheck that investors filed disputes about securities broker Dennis Robberecht (CRD#: 1213446, Roseville, California). Namely, the securities broker, who started working for Hilltop Securities in November 2008 as both a financial advisor and securities broker, is involved in […]

July 4, 2021
Cory Bataan Involved In Aegis Investor Disputes

Aegis Investment Corp Clients File Disputes About Securities Broker Cory Bataan The Financial Industry Regulatory Authority (“FINRA”) reports important information regarding securities broker Cory David Bataan (CRD#: 2755223, Melville, New York). Notably, the securities broker, who worked for Aegis Capital Corp from 2012 to 2019, is involved in investor disputes involving clients of that firm. […]

June 28, 2021
Marc Winters Barred As Broker By FINRA

Wedbush Securities Broker Marc Winters Barred By FINRA For Not Responding To Regulator's Request Soreide Law Group has important information to share with you regarding securities broker Marc Winters (CRD#: 4053113, Los Angeles, California). Notably, Financial Industry Regulatory Authority (“FINRA”) barred Winters, who worked as a securities broker for Wedbush Securities from 2004 to 2020. […]

June 14, 2021
Jeffrey Hill In Wells Fargo Investor Dispute

Wells Fargo, Dougherty Clients File Suitability Disputes Involving Broker Jeffrey Hill Soreide Law Group is reviewing potential investor lawsuits to be brought against securities broker Jeffrey Alan Hill (CRD#: 2204945, Bemidji, Minnesota). Evidently, FINRA sanctioned Hill several times for misconduct. Not only that, but 8 investors disputed his sales practices. Let’s take a brief look […]

June 6, 2021
Narith Long Targeted In Investor’s Trading Disputes

Investors Dispute Actions Of NYLife Securities Broker Narith Long The Financial Industry Regulatory Authority (“FINRA”) reports troubling information regarding securities broker Narith Long (CRD#: 6598152, Glendale, California), who worked for Northwestern Mutual Investment Services (May 2018 to October 2019) and NYLife Securities LLC (December 2019 to December 2020). Specifically, NYLife Securities disaffiliated with Narith Long […]

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