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May 26, 2023
Jason Slezak Discloses Allegations Of Unsuitable Recommendations

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Jason Nicholas Slezak (CRD: 2423323, Antioch, Illinois). Evidently, investors disputed the sales practices of the securities broker, who worked for Landolt Securities Inc. Additionally, the securities broker discloses a regulatory enforcement action. However, Slezak denies the allegations of misconduct Read on to learn […]

May 25, 2023
John Rochester Discloses Allegations Of Breach Of Fiduciary Duty

Investors have come forward with complaints about securities broker John Rochester (CRD: 2128760, Santa Fe, New Mexico). Evidently, the securities broker, who worked for Morgan Stanley, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Morgan Stanley clients allege that Rochester breached a fiduciary duty, made misrepresentations, made unsuitable recommendations, failed to perform […]

May 24, 2023
Investors File Disputes About Thomas Rauchegger

Investors have come forward with complaints about securities broker Thomas Michael Rauchegger (CRD: 5156496, Maitland, Florida). Evidently, the securities broker, who worked for Kalos Capital Inc., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Kalos Capital Inc. clients allege that Rauchegger made unsuitable recommendations. For more on these disclosures about Rauchegger, see […]

May 23, 2023
Jeffrey Miller Discloses Allegations Of Unsuitable Recommendations

Investors have come forward with complaints about securities broker Jeffrey Adam Miller (CRD: 4251936, Greenwich, Connecticut). Evidently, the securities broker, who worked for UBS Financial Services Inc., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, UBS Financial Services Inc. clients allege that Miller made unsuitable recommendations. For more on these disclosures about […]

May 23, 2023
FINRA Suspends Roman Meyerhans

Soreide Law Group is investigating possible investor claims against securities broker Roman Meyerhans (CRD: 4587943, Miami, Florida). Notably, FINRA sanctioned the securities broker, who worked for Raymond James Associates Inc. Allegedly, Meyerhans made unauthorized communications with clients regarding securities business. Here is a brief summary of FINRA’s allegations against Meyerhans. FINRA Sanctions Meyerhans For Unauthorized […]

May 20, 2023
Investors File Disputes About Jeffrey Kiesnoski

Soreide Law Group is investigating possible investor claims against securities broker Jeffrey Kiesnoski (CRD: 2688017, Setauket, New York). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Concorde Investment Services LLC. Evidently, investors allege sales practice violations in these disputes, including that Kiesnoski […]

May 19, 2023
Eric Jenson Discloses Allegations Of Omissions

Investors have come forward with complaints about securities broker Eric M. Jenson (CRD: 2873787, Greenwood Village, Colorado). Evidently, the securities broker, who worked for Transamerica Financial Advisors Inc. and WMA Securities Inc., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, investors allege that Jenson committed sales practice violations. For more on these […]

May 18, 2023
Gary Isler Discloses Allegations Of Breach Of Fiduciary Duty

Investors have come forward with complaints about securities broker Gary Isler (CRD: 1514385, Lawrenceville, New Jersey). Evidently, the securities broker, who worked for David Lerner Associates Inc., discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, David Lerner Associates Inc. clients allege that Isler made unsuitable recommendations, made misrepresentations, made omissions, and breached […]

May 17, 2023
Andrew Grant Discloses Allegations Of Discretionary Trading

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Andrew Justin Grant (also known as Andy Grant) (CRD: 2709882, Melville, New York). Not only has FINRA sanctioned Grant for engaged in discretionary trading, but investors disputed his sales practices. However, Grant denies the allegations. Read on to learn more about the allegations […]

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