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December 12, 2023
Richard Brown Involved In Summit Client Investor Disputes

Soreide Law Group is investigating potential claims on behalf of investors who may have suffered losses due to the actions of Richard Whitfield Brown [CRD: 1595628, Fort Myers, Florida]. Evidently, Brown has a history of employment with Summit Brokerage Services Inc. from May 2, 2003, to September 20, 2019, and more recently with Cetera Advisor […]

November 22, 2023
FINRA Punishes Broker Murat Kartal

Soreide Law Group can help individuals with financial losses because of Spartan Capital Securities LLC's Murat Kartal (also known as Marc Kartal) [CRD#: 6346419, New York, NY]. Murat Kartal received a FINRA suspension due to unsuitable and excessive trading in a client's account. FINRA Sanctioned Kartal For Unsuitable And Excessive Trading Evidently, on July 17, […]

November 21, 2023
FINRA Issues Sanction To Michael May

Soreide Law Group is currently conducting an investigation on behalf of investors who have suffered losses investing with securities broker Michael James May [CRD#: 4712287, New York, NY]. Evidently, May joined VCS Venture Securities on October 4, 2021. He previously worked for Joseph Stone Capital LLC. May's practices have recently come under scrutiny by FINRA. […]

November 9, 2023
Charles Weldon Discloses Cetera Investor Dispute

Soreide Law Group is actively investigating potential claims on behalf of investors who may have sustained losses due to the actions of securities broker Charles Raymond Weldon (also known as C. Raymond Weldon) [CRD#: 1030659, Boca Raton, Florida]. Evidently, Weldon, who is currently registered with Independent Financial Group LLC, has a history of employment with […]

November 8, 2023
RBC Clients Complain About Broker Brian Wurdemann

Soreide Law Group is currently investigating potential claims on behalf of individuals who have suffered losses invested with registered broker and investment adviser, Brian M. Wurdemann (CRD#: 4206425, New York, NY). Notably, Wurdemann worked with RBC Capital Markets LLC in New York, NY from May 4, 2017, to May 5, 2022, and with UBS Financial […]

November 8, 2023
Brandon Hanna Disclosed Oppenheimer Client Disputes

Soreide Law Group is currently investigating potential claims on behalf of investors who may have sustained financial losses due to the actions of Brandon Boyd Hanna [CRD#: 3225573]. Evidently, Hanna is a securities broker and financial advisor based in Minneapolis, Minnesota, and his registration history includes affiliations with Pruco Securities LLC [since February 8, 2018] […]

September 1, 2023
FINRA Bars Randall Skrabonja

Soreide Law Group is investigating possible investor claims against securities broker Randall George Skrabonja [CRD: 1858245, Winter Park, Florida]. Notably, FINRA sanctioned the securities broker, who worked for Green Vista Capital LLC. Allegedly, Skrabonja failed to cooperate with the investigators at FINRA. Here is a brief summary of FINRA’s allegations against Skrabonja. FINRA Sanctions Skrabonja […]

August 23, 2023
FINRA Files Complaint Against Luke Johnson

Soreide Law Group is investigating possible investor claims against securities broker Luke Michael Johnson [CRD: 3257008, Scottsdale, Arizona]. Notably, FINRA filed an enforcement or civil action against the securities broker, who worked for Coastal Equities Inc., regarding suitability and falsification of information. Here is a brief summary of FINRA’s allegations against Johnson. FINRA Charges Johnson […]

August 22, 2023
Investors Bring Dispute About Joseph Katzaroff

Soreide Law Group is investigating possible investor claims against securities broker Joseph P. Katzaroff (also known as Joseph Patrick Katzaroff) [CRD: 1811119, Irvine, California]. Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for UBS Financial Services Inc. Notably, investors allege unsuitable trading. Here […]

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