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January 6, 2026
Franklin Lainez Tied To TD Private Client Wealth Investor’s Unauthorized Transaction Complaint

Investors potentially incurred losses because of securities broker Franklin Lainez [CRD: 7721324, New York, New York], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Lainez has worked for TD Private Client Wealth LLC in Staten Island, New York, since June 1, 2023, and for the firm’s New York, New York, […]

June 26, 2025
Gregory Cash (UBS) Facing Client Dispute Over Unauthorized Transactions

Investors might have sustained losses due to securities broker Gregory Michael Cash (also known as Greg Cash and Gregory Alan Cash) [CRD: 2698196, Charlotte, North Carolina], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Gregory Cash worked for Merrill Lynch, Pierce, Fenner & Smith Incorporated from August 15, 1997, to January 21, 2020, […]

June 24, 2025
Edgar Shanoyan Barred By FINRA, Linked To Merrill Lynch Client Dispute

FINRA barred securities broker Edgar Sarkis Shanoyan [CRD: 6355599, Rutherford, New Jersey] and an investor complained about him, according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Shanoyan worked for Merrill Lynch Pierce Fenner Smith Incorporated from June 27, 2016, to October 19, 2023. Keep reading to learn more about the […]

April 19, 2025
Jason Head Barred, Facing Morgan Stanley Client Disputes Alleging Misappropriation

FINRA expelled securities broker Jason Brooks Head [CRD: 4920135, Tuscaloosa, Alabama], according to disclosures on FINRA BrokerCheck. Jason Head worked for Morgan Stanley from August 23, 2019 to January 10, 2024, and for BBVA Securities Inc. from May 16, 2013, to August 23, 2019. Keep reading to learn more about the client complaints involving this […]

October 14, 2024
John Pelletier Fined for Unauthorized Trading

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker John E. Pelletier [CRD: 4205289, Wauwatosa, Wisconsin]. Pelletier worked for BMO Harris Financial Advisors Inc. from August 1, 2012, to March 24, 2021. Recently, Pelletier faced allegations related to unauthorized trading, leading to fines and a suspension from FINRA. Keep reading to learn more […]

August 28, 2024
Alan Cohen Facing Client Disputes Alleging Mismanagement

Investors allegedly experienced losses because of securities broker / financial advisor Alan Jeffrey Cohen [CRD: 1465867, New York, New York], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Alan Cohen worked for UBS Financial Services Inc. from January 12, 2007, to September 10, 2021, before joining Stifel Nicolaus Company Incorporated on September […]

May 20, 2024
Sally Weger In Morgan Stanley Misrepresentation Disputes

Investors might have sustained losses due to securities broker Sally Ann Weger (also known as Sarah Ann Weger) [CRD: 2591057, Palm Beach Gardens, Florida], based on the disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Weger joined Morgan Stanley Smith Barney on September 16, 2011. Read on to uncover more about Weger’s client disputes […]

April 30, 2024
Brian Graham Disclosed Client Claims Of Unauthorized Transactions

Investors may have incurred losses due to securities broker Brian Scott Graham [CRD: 2581633, Plainfield, Illinois], as reported by the Financial Industry Regulatory Authority (FINRA) BrokerCheck. Graham was previously employed with Cetera Advisor Networks LLC from September 3, 2013, to April 12, 2024, and with Tower Square Securities Inc. from June 23, 2010, to September […]

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