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January 17, 2025
Baris Cabalar Facing Allegations of Misconduct at PHX Financial

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Baris Cabalar (also known as Barry Calabar) [CRD: 4749342, Fort Lauderdale, Florida]. Baris Cabalar has worked for five firms in his 17-year career. Evidently, he is employed at PHX Financial, Inc. since December 18, 2015. Recent disclosures reveal concerns about Cabalar’s conduct, including allegations […]

January 17, 2025
Michael Culwell Facing Allegations of Misconduct at Emerson Equity LLC

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Michael Gregory Culwell (also known as Mike Culwell) [CRD#: 5989109, Irvine, California]. Michael Culwell is currently registered with Emerson Equity LLC since November 8, 2013, and has 13 years of experience in the securities industry. Michael Culwell’s employment history includes working for ARI Financial […]

January 16, 2025
Colin Kelty: FINRA Arbitration Filed by Cetera Client

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Colin Christy Kelty (also known as Colin Kelty) [CRD: 5859007, Oakbrook, Illinois]. Colin Kelty has been registered with Cetera Investment Services LLC since December 6, 2011, and Cetera Investment Advisers LLC since January 21, 2014. Previously, Kelty worked for Vision Investment Services, Inc., from […]

January 14, 2025
David Glienke Faces Allegations of Misconduct at Western International Securities

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker David Dean Glienke [CRD: 5502866, Westlake Village, California]. David Glienke has been employed by Western International Securities, Inc. since May 28, 2008, where he is registered as both a broker and an investment adviser representative. Recent disclosures raise concerns about Glienke’s conduct, including allegations […]

January 13, 2025
Bryce Hamilton Client Files Dispute for Alleged Unsuitable Advice

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Bryce Austin Hamilton (also known as Bryce Hamilton) [CRD: 4296113, Cornelius, North Carolina]. Bryce Hamilton worked for several prominent firms, including LPL Financial LLC from July 2024 to October 2024, and CliftonLarsonAllen Wealth Advisors, LLC from November 2023 to May 2024. His 22-year securities […]

January 12, 2025
Matthew Childs Facing Allegations of Misconduct at Portsmouth Financial Services

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Matthew Jason Childs (also known as Matt Childs) [CRD#: 3110916, San Francisco, California]. Childs worked for Portsmouth Financial Services from February 2016 to December 2024. Recent disclosures reveal concerns about Childs’ conduct, including allegations of unsuitable recommendations and regulatory sanctions. FINRA Brings Regulatory Action […]

January 12, 2025
Thomas Swan Facing Allegations of Unsuitability

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Thomas Brian Swan [CRD#: 1698430, Westlake Village, California]. Swan has been registered with Western International Securities, Inc. since May 27, 2008, and has over 36 years of experience in the securities industry. Recent disclosures reveal concerns about Swan’s conduct, including allegations of unsuitable recommendations, […]

January 11, 2025
Stephen Mellinger: Broker Disclosures and Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Stephen Theodore Mellinger III (also known as Stephen Mellinger) [CRD: 2819752, Niles, Michigan]. Stephen Mellinger previously worked for NYLIFE Securities LLC from November 2009 to January 2016. Recent disclosures reveal concerns about Mellinger’s conduct, including allegations of misrepresentation and unsuitable recommendations. NYLIFE Securities Client […]

January 11, 2025
Evan Adelglass: LPL Financial Client Files Suitability Claim

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Evan Jay Adelglass (also known as Evan Jan Adelglass) [CRD#: 2392225, Ansonia, Connecticut]. Evan Adelglass has worked for LPL Financial LLC since August 31, 2005. Recent disclosures reveal concerns about Adelglass’s conduct, including allegations of unsuitable investment recommendations and client disputes. October 7, 2024 […]

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