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December 31, 2024
James Paige Facing Wells Fargo Client's Arbitration Claim

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker James Roy Paige [CRD: 1726609, Vero Beach, Florida]. James Paige worked in the securities industry for 36 years, spanning four firms. Since October 31, 2008, he has been employed by Wells Fargo Clearing Services, LLC and Wells Fargo Advisors in Vero Beach, Florida. Recent […]

December 31, 2024
Spartan's George Apolonides: Regulatory Actions and Client Allegations oUnsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker George Apolonides (also known as George Apollo) [CRD: 3101928, Garden City, New York]. Apolonides, previously registered as a broker, has over 23 years of experience in the securities industry, with affiliations at seven firms. Most recently, he worked for Spartan Capital Securities, LLC from […]

December 30, 2024
Kabir Gangahar Facing Regulatory Sanctions, Investor Complaint

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Kabir Gangahar [CRD: 4280828, Omaha, Nebraska]. Kabir Gangahar worked United Planners' Financial Services of America from September 2012 to December 2017. His most recent employment was with KMS Financial Services, Inc. from January 2018 to November 2019. Recent disclosures highlight concerns about Gangahar’s conduct, […]

December 30, 2024
Joseph Storzinger Faces Negligence Allegations by IBN Client

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Joseph Edward Storzinger (also known as Joe Storzinger) [CRD: 2554671, Liverpool, New York]. Joseph Storzinger worked for American Portfolios Financial Services, Inc. in Massapequa, New York, from March 2017 to December 2018. He later joined Traderfield Securities Inc. in Massapequa, New York, from January […]

December 14, 2024
Deborah Stackpole Involved in Stonecrest Client Disputes

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows important investment-related disclosures about securities broker / financial advisor Deborah Stackpole (also known as Deborah Brown) [CRD: 4969850 Bayville, New Jersey]. Evidently, Stackpole has been employed by Stonecrest Capital Markets Inc. since September 6, 2016, and also works for Stonecrest Advisors Inc. since October 14, 2016. Below, you’ll […]

December 13, 2024
Patrick Dever Facing Stifel Nicolaus Client Complaint

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Patrick M. Dever [CRD: 2202204, West Chester, Pennsylvania]. Dever is currently registered with Stifel Nicolaus Company Incorporated, where he has worked since October 30, 2014, as a financial advisor and securities broker. Prior to this, Dever was employed by Morgan Stanley from 2009 to […]

October 31, 2024
Ruben Frezzotti Discharged from Raymond James Amid Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker / financial advisor Ruben Javier Frezzotti [CRD: 4439983, Coral Gables, Florida]. Evidently, Ruben Frezzotti worked for Raymond James Associates Inc. from February 13, 2013, to October 10, 2023. Certain recent disclosures, including client disputes and an employment termination, have raised concerns regarding his conduct. […]

October 29, 2024
Michelle Stebbins Facing Allegations of Failure to Supervise at Stifel Nicolaus Company

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker Michelle Christine Stebbins (also known as Michelle Christine Gillespie) [CRD: 4156378, Southfield, Michigan]. Stebbins joined Stifel Nicolaus Company, Incorporated on May 18, 2018, and previously worked for Wells Fargo Clearing Services LLC from July 23, 2008, to May 23, 2018. Recently, client disputes have […]

October 28, 2024
Juan Rascon Facing Disputes Concerning Alleged Unsuitable Recommendations

Financial Industry Regulatory Authority (FINRA) BrokerCheck shows disclosures about securities broker / financial advisor Juan Manuel Rascon [CRD: 5631144, Katy, Texas]. According to his employment history, Rascon joined Cetera Investment Services LLC on March 8, 2019, and previously worked for BBVA Securities Inc. from May 16, 2013, to March 11, 2019. Investors have raised concerns […]

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