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November 11, 2025
Brian Cantel Linked To Berthel Fisher Investor Arbitration Claims Concerning Misrepresentation

Investors might have sustained losses because of securities broker Brian Cantel [CRD: 1743229, Flowery Branch, Georgia], based on public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Cantel has been registered with Berthel Fisher Company Financial Services Inc. since January 3, 2006, and also worked as an investment adviser with the same firm beginning […]

November 11, 2025
Timothy Yee Involved In Independent Financial Group Client’s Breach Of Fiduciary Duty Complaint

Investors apparently complained about securities broker Timothy Richard Yee [CRD: 2492578, Alameda, California], according to publicly available information on FINRA BrokerCheck. Evidently, Yee has been registered with Independent Financial Group LLC since July 8, 2015, and previously worked for LPL Financial LLC from May 30, 2014, to June 10, 2015. See the following summary for […]

November 11, 2025
Kyle McLaughlin Facing Morgan Stanley Client Dispute Concerning Unsuitable Recommendations

Investors have reportedly disputed the sales practices of securities broker Kyle Mitchell McLaughlin [CRD: 2614967, Cincinnati, Ohio], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, McLaughlin worked for Morgan Stanley from September 23, 2013, to August 27, 2024, and currently works for RBC Capital Markets LLC since August 22, 2024. Read below […]

November 10, 2025
James Raia At Center Of Moloney Securities Investor Arbitration Claims About Negligence

Investors potentially experienced sales practice violations due to securities broker James John Raia [CRD: 2397301, Ridgewood, New York], according to public information on FINRA BrokerCheck. Evidently, Raia worked for Moloney Securities Co. Inc. from February 1, 2018, to June 4, 2025, and is currently registered with Emerson Equity LLC in Irvine, California, since May 7, […]

November 10, 2025
Eduardo Leon Fined By FINRA, Involved In Global Financial Services Client’s Negligence Complaint

Investors potentially incurred losses because of securities broker Eduardo Leon Jr. [CRD: 2232647, Houston, Texas], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Leon has been registered with Global Financial Services, L.L.C. since July 12, 1994, serving clients through the firm’s Houston office. Keep reading for details about the disclosures […]

November 9, 2025
Joe Eschleman Facing Unsuitable Advice Allegations By Purshe Kaplan Sterling Investor

Investors possibly experienced sales practice violations by securities broker Joseph Frederick Eschleman (also known as Joe Eschleman) [CRD: 3237843, Sacramento, California], according to publicly available information on FINRA BrokerCheck. Evidently, Eschleman has been registered with Purshe Kaplan Sterling Investments since August 10, 2017, and with Towerpoint Wealth LLC since May 30, 2017. Read below for […]

November 9, 2025
Peter Kalmus Involved In IBN Financial Services Investors’ Arbitration Claims Re: Unsuitable Advice

Investors might have sustained losses because of securities broker Peter Joseph Kalmus [CRD: 1522531, Liverpool, New York], based on disclosures on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Kalmus has been registered with IBN Financial Services Inc. since February 16, 2015. Read on to find out more about the disclosures concerning this securities broker. IBN […]

November 9, 2025
Claud Haws Tied To HawsGoodwin Investment Management Clients’ Unsuitable Advice Disputes

Investors apparently complained about investment adviser Claud Arthur Haws Sr. (also known as Art Haws) [CRD: 2051664, Franklin, Tennessee], according to public information on FINRA BrokerCheck. Evidently, Haws worked for Mercer Global Advisors Inc. as a Senior Wealth Advisor and Director from January 1, 2022, to the present, and previously for HawsGoodwin Investment Management LLC […]

November 9, 2025
Russell Jones Facing Allegations Of Unsuitable Advice By SagePoint Investors

Investors have reportedly disputed the sales practices of securities broker Russell Taylor Jones [CRD: 1383542, Troy, Michigan], based on publicly available information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Jones worked for SagePoint Financial Inc. from August 13, 2010, to November 12, 2020. Continue reading for details about Jones’s disclosures and investor disputes. SagePoint […]

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