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February 20, 2025
Lorraine Gallette Faces Allegations of Unsuitable Advice at Coastal Equities Inc.

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Lorraine Gallette (also known as Lorraine Marie Schmidt) (CRD#: 6192487, El Dorado Springs, Missouri). Gallette was previously registered with Coastal Equities Inc. from July 2013 to January 2021 and later joined Moloney Securities Co. Inc., where she remained until April 2022. Recent disclosures reveal […]

February 20, 2025
Laura Casey Facing FINRA Suspension for Unsuitable Advice at Morgan Stanley

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Laura Casey (also known as Laura H. Casey, Laura Aline Hubbard, and Laura H. Hubbard) [CRD: 2684465, Red Bank, New Jersey]. Laura Casey worked for Morgan Stanley from July 2018 to September 2022 and later joined Capitol Securities Management Inc. in August 2022. However, […]

February 19, 2025
Laura Barnes Faces Regulatory Action Over Alleged Violations at Moloney Securities

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Laura Beth Barnes (CRD#: 4482198, Winterset, Iowa). Barnes previously worked for Moloney Securities Co. Inc. from July 2012 to December 2024 and for Eagle One Investments LLC from July 2005 to July 2012. Recent disclosures highlight regulatory actions against Barnes concerning violations of Regulation […]

February 19, 2025
Kim Kunz Faces Regulatory Actions and Client Disputes

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Kim Ray Kunz (CRD#: 718618, Atascadero, California). Kunz was previously registered with WestPark Capital Inc. from November 2017 to January 2025, and has worked at several other firms throughout his 44-year career in the securities industry. Recent disclosures highlight regulatory actions and client disputes […]

February 19, 2025
Justin Gerow Facing Regulatory and Client Complaint Allegations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Justin Y. Gerow (CRD: 4435995, Punta Gorda, Florida). Gerow was previously registered as a broker and investment adviser. His most recent employment was with LPL Financial LLC from January 2023 to May 2023, following a 21-year tenure at PFS Investments Inc. from 2001 to […]

February 17, 2025
Janine Ledbetter Facing Cetera Client Disputes About Unsuitable Recommendations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Janine Lynn Ledbetter (also known as Janine Lynn Evans) [CRD: 5653943, Vancouver, Washington]. Ledbetter was previously registered as both a broker and an investment adviser, working with Cetera Advisors LLC from 2014 to 2022. Recent disclosures raise concerns regarding Ledbetter’s professional conduct, including allegations […]

February 15, 2025
James Blaszyk Faces Allegations of Unsuitable Recommendations at Wells Fargo

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker James Cabourne Blaszyk (CRD: 5364851, Boca Raton, Florida). Blaszyk has been registered with Wells Fargo Clearing Services LLC since April 10, 2008, and Wells Fargo Advisors since April 15, 2008. Recent disclosures reveal concerns regarding Blaszyk’s investment recommendations, including a pending client dispute alleging […]

February 15, 2025
Gene West Facing Allegations of Misconduct at RBC Capital Markets

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker Gene Tulley West Jr. (CRD: 1569050, Greenwood Village, Colorado). West has been registered with RBC Capital Markets LLC since March 2, 1998, and has over 38 years of experience in the securities industry. Recent disclosures reveal concerns about West’s conduct, including allegations of unsuitable […]

February 13, 2025
David Lerner Faces FINRA Sanctions for Regulatory Violations

Financial Industry Regulatory Authority (FINRA) BrokerCheck reveals disclosures about securities broker David Scott Lerner (CRD#: 1883553, Hauppauge, New York). Lerner has over 33 years of experience in the securities industry and has been associated with multiple firms, including Madison Global Partners LLC and Network 1 Financial Securities Inc. Recent disclosures highlight regulatory actions and client […]

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