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September 25, 2020
Gary Pevey Sells Bad Woodbridge Notes

Mutual Securities Broker Gary Pevey Supposedly Breached His Fiduciary Duty To Investors Soreide Law Group provides this investor alert in regard to Mutual Securities financial advisor or securities broker Gary Pevey (CRD#: 2129469, Sacramento, California). Notably, FINRA BrokerCheck shows that three investors complained about Pevey. These investors suggest that Pevey, who worked for Mutual Securities […]

September 9, 2020
Fred Kort Apparently Sold Unsuitable Investments

Clients Of UBS Indicate Fred Kort Sold Unsuitable, Misrepresented Investments The Financial Industry Regulatory Authority (“FINRA”) reports troubling allegations of misconduct by securities broker Frederick Maximilian Kort (CRD#: 5376727, Chicago, Illinois). Notably, four investors brought complaints or lawsuits about the securities broker, who worked for UBS Financial Services between August 2007 and May 2018 at […]

August 31, 2020
Douglas Leone Sanctioned Again By FINRA

SW Financial Broker Douglas Leone Sanctioned Again By Financial Watchdog The Financial Industry Regulatory Authority (“FIRNA”) announced that it again sanctioned Salomon Whitney Financial securities broker Douglas A. Leone (CRD#: 2453784, Melville, New York). The watchdog’s move comes after prior infractions – all of which resulted in him being barred. Not only that, but seven […]

August 27, 2020
Christopher Barone Allegedly Fails To Supervise

FINRA Bars America Northcoast's Christopher Barone Soreide Law Group wants you to be aware that securities broker Christopher Richard Barone (CRD#: 2032268, Houston, Texas) – the CEO and COO of America Northcoast Securities – is disqualified from being a FINRA broker effective January 23, 2020. Notably, FINRA barred Barone for misrepresenting his supervision of trade […]

August 24, 2020
Dennis Nakamura Losses?

McNally Broker Dennis Nakamura Investigated For Possibly Breaking FINRA Rules Investor Alert! The Financial industry Regulatory Authority (“FINRA”) barred securities broker Dennis M. Nakamura (CRD#: 819626, Moraga, California). Evidently, the securities broker – who worked for McNally Financial Services Corporation from 2010 to 2019 – refused to testify in a FINRA investigation about his investment […]

July 6, 2020
CLAY ERICKSON Suspended By FINRA

HTK Broker Clay Erickson Suspended For Transferring Investor Funds Without Authorization The Financial Industry Regulatory Authority (“FINRA”) BrokerCheck Report for broker Clay Erickson (CRD#: 1583644, Salt Lake City, Utah) is troubling. Evidently, six of Erickson’s clients brought disputes about his sales practices. Not only that, but FINRA suspended Erickson and issued him a fine for […]

July 6, 2020
TERRENCE BONK Losses?

Broker Terrence Bonk Allegedly Caused Investor Losses Soreide Law Group is reviewing possible investor claims against securities broker Terrence Edward Bonk (CRD#: 1011846, Inter Grove Heights, Minnesota). Namely, the Financial Industry Regulatory Authority (“FINRA”) suspended the prior Feltl & Company securities broker until December 1, 2020 and issued him a $10,000 fine for borrowing money […]

July 5, 2020
Joseph Weinrich Alternative Investment Losses?

Moloney Securities Broker Joseph Weinrich Allegedly Sold Unsuitable Investments Soreide Law Group is reviewing possible investor claims in regard to securities broker Joseph John Weinrich Sr. (CRD#: 461987, Orange, California). Notably, FINRA BrokerCheck shows that at least three investors complained about the broker, who worked for Moloney Securities from 1999 to 2018. Significantly, these disputes […]

July 1, 2020
Michael Venturino Possibly Breached Fiduciary Duty

Broker Michael Venturino Supposedly Breached Fiduciary Duty, Churned Aegis Customer's Account Soreide Law Group wants to know if you sustained losses by investing with Michael Christopher Venturino (CRD#: 5872439, Garden City, New York). Venturino is a securities broker who joined Spartan Capital Securities in April 2018 and who also worked for Aegis Capital Corp (2014-2017) […]

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