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January 31, 2019
Deutsche Bank Securities Terminates Brokers Jonathan Sdao, Joseph Reardon

Deutsche Bank Securities Terminates Brokers Jonathan Sdao, Joseph Reardon Deutsche Bank Securities Inc. (CRD#: 2525) is a brokerage firm which the Financial Industry Regulatory Authority (“FINRA”) regulates. Also, the firm has an investment advisory which the Securities and Exchange Commission (“SEC”) regulates. Notably, Deutsche Bank Securities has a whopping two hundred eighty disclosures on FINRA […]

January 31, 2019
Cuna Brokerage Services Terminates Brokers Michael Grant, Michal Osgood

CUNA Brokerage Services Terminates Brokers Michael Grant, Michal Osgood CUNA Brokerage Services (CRD#: 13491) is a brokerage firm which is regulated by the Financial Industry Regulatory Authority (“FINRA”). CUNA also does business as an investment adviser firm regulated by the Securities and Exchange Commission (“SEC”).  Apparently, the FINRA BrokerCheck Report for CUNA Brokerage Services shows […]

January 30, 2019
Morgan Stanley Customers Dispute Broker Vincent Magee’s Sales Practices

Morgan Stanley Customers Dispute Broker Vincent Magee’s Sales Practices Vincent Michael Magee (CRD#: 2720508, Marco Island, Florida) is a past general securities representative of Morgan Stanley. Specifically, at least seven customers of Morgan Stanley and Raymond James & Associates, Inc. (Vincent Magee’s prior employer) complained about Vincent Magee’s sales practices. Take a look at some […]

January 18, 2019
Next Financial Group’s Mark Lee Tevebaugh Allegedly Sold Bad Investments

Next Financial Group’s Mark Lee Tevebaugh Allegedly Sold Bad Investments Mark Lee Tevebaugh (CRD#: 1567001, Indian Harbour Beach, Florida) is a general securities representative for Next Financial Group, Inc. According to person’s Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report, four customers have alleged that he engaged in sales practice violations. Check out the following summary […]

January 7, 2019
Pruco Terminates Brokers Michael Pineda, Donna Guglielmi, Rajen Sheth

Pruco Terminates Brokers Michael Pineda, Donna Guglielmi, Rajen Sheth Pruco Securities, LLC (CRD#: 5685) is a Financial Industry Regulatory Authority (“FINRA”) regulated brokerage firm and (“SEC”) regulated investment adviser firm. Pruco Securities, LLC’s main offices are in Newark, New Jersey. Since September 22, 2003, Pruco Securities has amassed 42 discloses regarding its alleged mishaps in […]

January 4, 2019
Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero

Customers Allege Unsuitability Against Santander Securities, Roberto Feria Cestero Roberto Feria Cestero (CRD#: 3266245, Hato Rey, Puerto Rico) is a prior Santander Securities LLC securities broker. He worked at the dually-registered brokerage firm and investment adviser firm from July 14, 2006 to October 14, 2016. Evidently, many investors have disputed Cestero’s sales practices. Specifically, the […]

January 4, 2019
Claims Against Wells Fargo’s Scott Hilton, Ricardo Guimaraes, Jason Pokorny

Claims Against Wells Fargo’s Scott Hilton, Ricardo Guimaraes, Jason Pokorny Soreide Law Group is investigating possible claims of unsuitability against Wells Fargo Clearing Services, LLC brokers Scott Hilton, Ricardo Guimaraes and Jason Pokorny. Wells Fargo Clearing Services, LLC is a brokerage firm regulated by the Financial Industry Regulatory Authority (“FINRA”) and investment adviser firm regulated […]

December 8, 2018
FINRA Suspends Garden State Securities' Raymond John Pirrello Jr.

FINRA Suspends Garden State Securities Broker Raymond John Pirrello Jr. The Financial Industry Regulatory Authority (FINRA) has sanctioned Raymond John Pirrello Jr. (CRD#: Hackensack, New Jersey), who is a prior general securities representative of Garden State Securities (August 14, 2008 to May 20, 2016). Pirrello consented to FINRA’s imposition of a $20,000.00 fine and 18-month […]

November 26, 2018
LPL Financial Sued By Investors Over Unsuitable Annuity Sales

LPL Financial Sued By Investors Over Unsuitable Annuity Sales LPL Financial LLC (CRD#: 6413, Boston, Massachusetts) ) is a brokerage firm regulated by Financial Industry Regulatory Authority (“FINRA”) who has reported one hundred twenty-nine regulatory events concerning allegations of LPL Financial’s violations of regulations or rules in the securities industry. Additionally, LPL Financial has also […]

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