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August 29, 2021
Dustin Blount Barred, Involved In MML Investor Dispute

Broker Dustin Blount Barred By FINRA And Involved In An MML Investor's Dispute Soreide Law Group has important information to share with you regarding securities broker Dustin Michael Blount (CRD#: 5267680, Vicksburg, Mississippi). Specifically, it appears on BrokerCheck that in addition to him being discharged for alleged misconduct, the broker is the subject of criminal […]

March 24, 2021
David Cohen Involved In AXA Disputes

AXA Equitable Broker David Cohen Targeted In Disputes Alleging Unsuitable Recommendations The Financial Industry Regulatory Authority (“FINRA”) reports troubling information regarding securities broker David Allan Cohen (CRD#: 4531744, Rockville, Maryland). Apparently, the securities broker, who worked for AXA Advisors LLC between 2002 and 2017, reports at least three investor disputes. Notably, one or more investors […]

December 29, 2020
Ryan Tarjanyi Under FINRA Investigation

FINRA Investigating Bankers Life Broker Ryan Tarjanyi For Unauthorized Transactions Soreide Law Group is reviewing possible investor lawsuits against securities broker Ryan Owen Tarjanyi (CRD#: 6065805, Greensburg, Pennsylvania). Notably, the Financial industry Regulatory Authority (“FINRA”) BrokerCheck report on Tarjanyi shows that he maintained employment at ProEquities from 2012 to 2016, Bankers Life Securities from 2016 […]

December 29, 2020
Chun Zhu Targeted In Disputes Against Waddell Reed

Broker Chun Zhu Involved In Investor Dispute Alleging Breach Of Fiduciary Duty The Financial Industry Regulatory Authority (“FINRA”) reports troubling information in regard to securities broker Chun Mei Zhu who also goes by the name Ida Mei Zhu (CRD#: 4863613, Bellevue Washington). Evidently, In May 2020, Zhu became a securities broker and financial advisor for […]

September 8, 2019
RICHARD EWING Misrepresent Your Investments?

Losses From Richard Ewing? FINRA BrokerCheck reports troubling allegations of sales practice violations from Ameriprise Financial Services securities representative Richard Ewing (Dickie Ewing) (CRD#: 3189321, Palm Beach Gardens, Florida). Notably, the securities broker, who joined Ameriprise Advisor Services Inc. in 2005 and transitioned to Ameriprise Financial Services in 2009, reports 4 client disputes and 2regulatory […]

May 9, 2019
AMY MCPIKE Subject Of Investor's Complaint

INVESTOR ALERT: Customer Claim Concerning Hornor Townsend Broker AMY MCPIKE Amy McPike (CRD#: 2122993, Cincinnati, Ohio) is a securities broker who currently works at Hornor, Townsend & Kent, LLC. Apparently, McPike joined the firm’s Cincinnati, Ohio offices on November 12, 2013. Notably, McPike reports on her Financial Industry Regulatory Authority (FINRA) BrokerCheck Report that a […]

May 3, 2019
JOHN NORDEN Referenced In Investor Claims

Misrepresentation Claims Involving Raymond James Broker JOHN NORDEN Soreide Law Group is reviewing possible claims of annuity misrepresentation against Raymond James Financial Services securities broker John Norden (CRD#: 2272003, Honolulu, HI), who worked at the firm from October 15, 2009 to June 1, 2018. Norden shows on his Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report […]

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