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January 6, 2026
Anthony Bottini Barred By FINRA, Tied To Merrill Lynch Investor’s Unauthorized Trading Complaint

FINRA barred securities broker Anthony Richard Bottini III (also known as Rick Bottini) [CRD: 5567091, New York, New York], and investors complained about him, based on public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Anthony Bottini worked for Merrill Lynch from July 22, 2011, to May 22, 2025. Investors should continue reading to find […]

January 6, 2026
Michael Tannery Involved In Independent Financial Group Investor Complaint About Misrepresentation

Investors might have sustained losses due to securities broker Michael Anthony Tannery [CRD: 1538345, Richardson, Texas], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Michael Tannery worked for Independent Financial Group LLC as a broker beginning May 31, 2013, and as an investment adviser beginning June 12, 2013. Investors should keep reading to […]

January 6, 2026
Stephen Medina Connected To Merrill Lynch Investor Complaint About Misrepresentation

Investors might have sustained losses due to securities broker Stephen Marchelo Medina [CRD: 2614773, Corpus Christi, Texas], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Stephen Medina worked for Merrill Lynch beginning May 16, 1995, as a broker and beginning July 17, 1995, as an investment adviser. Investors should continue reviewing this […]

January 6, 2026
Gregory Lourdin Faced Newbridge Securities Corporation Investor Dispute Alleging Negligence

Investors apparently complained about securities broker Gregory Lourdin [CRD: 4152768, New York, New York], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Gregory Lourdin worked for Newbridge Securities Corporation beginning on March 18, 2016. Investors can see below to learn more about the disclosures involving this individual. Newbridge Securities Corporation Investor […]

December 31, 2025
Mark Carter Fined For Unsuitable Advice, Connected To Pruco Securities Investor Complaint

Investors potentially incurred losses because of securities broker Mark Allen Carter [CRD: 6387371, Charlotte, North Carolina], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Carter worked for Pruco Securities LLC from September 8, 2014, through March 25, 2024. Readers should see below to discover more about Carter’s disclosures and regulatory history. FINRA Sanctioned […]

December 31, 2025
Paul Meyer Fined, Faced RBC Capital Markets Investor Dispute About Unauthorized Trading

Investors apparently complained about securities broker Paul Richard Meyer [CRD: 3062534, Minnetonka, Minnesota], according to publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Meyer has worked for RBC Capital Markets LLC beginning on October 11, 2017, where he has been registered as both a broker and investment adviser. Keep reading to discover more […]

December 21, 2025
Todd Sherman Tied To Raymond James Investor Complaint About Unauthorized Trading

Investors have reportedly disputed the sales practices of securities broker Todd Leonard Sherman [CRD: 2518209, Mount Laurel, New Jersey], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Sherman worked for Raymond James Associates Inc. beginning on January 27, 2017, after previously working for Morgan Stanley from June 1, 2009, to […]

December 19, 2025
Michael Puma Linked To Oppenheimer Investor Complaint About Breach Of Fiduciary Duty

Investors potentially incurred losses because of securities broker Michael Salvatore Puma [CRD: 2460247, New York, New York], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Puma worked for Oppenheimer Co. Inc. from January 2, 2002, to December 31, 2022. Keep reading to find out more about the disclosures involving […]

December 2, 2025
David Heide Tied To RBC Capital Markets Client’s Misrepresentation Allegations

Investors potentially experienced sales practice violations due to securities broker David Charles Heide (also known as Dave Heide) [CRD: 2112032, Palos Heights, Illinois], according to publicly available information on FINRA BrokerCheck. Evidently, David Heide has been registered with RBC Capital Markets LLC since November 1, 2016, where he works as both a broker and investment […]

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