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May 20, 2024
Stacy Goldsmith Facing Herbert J. Smith Client Disputes

Soreide Law Group is investigating potential investor claims of sales practice violations possibly committed by securities broker Stacy Mari Goldsmith [CRD: 1416323, Red Bank, New Jersey], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Stacy Goldsmith worked for Hebert J. Sims Co Inc. from February 22, 2012, and for Herbert J. Sims […]

April 9, 2022
RJ Bernstein In Wells Fargo Client Complaints

Broker RJ Bernstein (Morgan Stanley, Wells Fargo) Faces Investor Allegations Of Sales Practice Violations Soreide Law Group is reviewing investor disputes against securities broker Richard Jay “RJ” Bernstein (CRD#: 1113777, Los Angeles, California). Evidently, Bernstein worked for securities firms Merrill Lynch, Bear Stearns, Prudential Securities, Salomon Smith Barney, UBS Financial Services, Morgan Stanley, and Wells […]

April 4, 2022
Mark Elafros Targeted In Ausdal Investor Disputes

Client Disputes Reported On BrokerCheck Profile Of Mark Elafros Soreide Law Group comes to you with new information in regard to securities broker Mark Lee Elafros (CRD#: 2337393, Chicago, Illinois). Evidently, Elafros worked for securities firms Madison Avenue Securities (2013 to 2016), Ausdal Financial Partners (2016 to 2018), American Trust Investment Services Advisory (2018 to […]

February 11, 2022
SQN AIF IV LP Losses?

Did Your Financial Advisor Recommend SQN AIF IV LP? Soreide Law Group is looking into potential investor lawsuits against securities brokers or financial advisors that have recommended SQN Alternative Investment Fund IV (“SQN AIF IV LP”). Here’s more about the investment, including what you could do if you experienced losses from your financial advisor's recommendations. […]

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 […]

November 15, 2020
Ray Reese Misrepresentation Disputes

Investors Indicate Alternative Investments Misrepresented Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations of sales practice violations by securities broker Ray Gene Reese (CRD#: 1694620, Farmington, Missouri). Namely, five or more investors brought investment disputes to recover losses supposedly caused by Reese, who has worked for Money Concepts Capital Corp since 1997. Here’s more on […]

October 9, 2020
John Fulton Involved In UBS Clients' Disputes

Broker John Fulton Supposedly Misrepresented Investments To UBS Clients Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) shows that four or more investors brought complaints or lawsuits against securities broker John Seiberling Fulton (CRD#: 2481439, West Palm Beach, Florida). Apparently, these investors suggest that Fulton, who has worked for UBS Financial Services since 2002, caused […]

August 26, 2020
Austin Dutton's Bad Alternative Investment Sales

Newbridge Broker Austin Dutton Supposedly Misrepresents Alternative Investments Droves of Investors are bringing lawsuits or complaints about securities broker Austin R. Dutton Jr. (CRD#: 2739167, Los Angeles, California). In fact, the Financial Industry Regulatory Authority (“FINRA”) shows that 23 investors have filed disputes about the sales practices of the securities broker, who worked for securities […]

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