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June 6, 2025
Patrick Moriarty Sanctioned, Facing UBS Client Disputes Re: Unauthorized Trading

Investors possibly experienced losses because of securities broker Patrick Alexander Moriarty [CRD: 4764378, Boston, Massachusetts], according to publicly available information on FINRA BrokerCheck. Evidently, Patrick Moriarty worked for UBS Financial Services Inc. from October 26, 2007, to August 30, 2024. Check out the following information about Patrick Moriarty’s regulatory disclosures. Moriarty Sanctioned By Massachusetts Securities […]

June 5, 2025
Mark Richards Involved In Madison Avenue Client Dispute Re: Unsuitable Advice

One or more investors apparently complained about securities broker Mark Wilkinson Richards (also known as Mark Wilkinson Dickey) [CRD: 2730478, Tijeras, New Mexico], according to disclosures on FINRA BrokerCheck. Evidently, Richards has worked for Madison Avenue Securities LLC in Tijeras, New Mexico since July 24, 2006, as a broker, and since March 25, 2009, as […]

June 5, 2025
Nicholas Stovall Barred By FINRA, Involved In Gradient Advisors Client Dispute

FINRA barred securities broker Nicholas Edward Stovall [CRD: 5581487, Arden Hills, Minnesota] and an investor complained about him, according to publicly available disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Stovall worked for Gradient Securities LLC from July 14, 2009, to July 21, 2023. Keep reading to learn more about the disclosures involving this […]

May 24, 2025
Alexander Creede Tied To International Assets Advisory Client Suitability Dispute

Investors might have sustained losses due to securities broker Alexander Raymond Creede (also known as Alexander Creede) [CRD: 6392369, Houston, Texas], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Creede worked for Independent Financial Group LLC from March 31, 2022, to the present. Before that, he was employed by International Assets Investment […]

May 23, 2025
Mark Reynolds Linked To Oppenheimer Client Disputes Over Misrepresentation

One or more investors apparently complained about securities broker Mark Raymond Reynolds [CRD: 1639111, Chicago, Illinois], according to disclosures through FINRA’s BrokerCheck. Evidently, Mark Reynolds has been registered with Oppenheimer Co. Inc. since August 31, 2005, working from its Chicago, Illinois, and Barrington, Illinois offices. Below, you can learn more about the disclosures involving Reynolds. […]

May 22, 2025
James Darlington Involved In UBS Client Arbitration Over Unsuitable Advice

Investors potentially experienced sales practice violations because of securities broker James Kellett Darlington II (also known as James Kellett Darlington, Jim Darlington II, Jimm Darlington II, Jimmy Darlington II) [CRD: 2004439, Knoxville, Tennessee], based on disclosures through FINRA’s BrokerCheck. Evidently, Darlington worked for UBS Financial Services Inc. from January 4, 2008, to September 21, 2021. […]

May 22, 2025
Kenneth Wingerter Linked To UBS Client’s Unsuitable Advice Dispute

Investors might have sustained losses due to securities broker Kenneth Scott Wingerter (also known as Ken Wingerter) [CRD: 2741587, Naples, Florida], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Kenneth Wingerter worked for Morgan Stanley since May 14, 2021, and was previously employed by Wells Fargo Clearing Services LLC from May 12, […]

May 21, 2025
Anthony Mampieri Tied To Morgan Stanley Client Dispute Re: Account Management

Investors potentially experienced sales practice violations due to securities broker Anthony Mampieri (also known as Anthony Ralph Mampieri or Tony Mampieri) [CRD: 1653703, Dublin, Ohio], according to publicly available information on FINRA BrokerCheck. Evidently, Mampieri worked for Morgan Stanley from August 20, 2010, to October 24, 2023. Since then, he has been registered with Wells […]

May 20, 2025
Yi Guo Facing FINRA Investigation, Univest Client Dispute

Investors potentially experienced sales practice violations due to securities broker Yi Guo [CRD: 6246079, New York, New York], according to disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Yi Guo has been a registered broker with Univest Securities LLC in New York, New York, since April 21, 2016. Keep reading to find out more […]

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