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August 20, 2023
Gregory Sain Discloses Allegations Of Unsuitable Trading

Investors have come forward with complaints about Gregory Robert Sain [CRD: 1629842, Beverly Hills, California]. Evidently, the securities broker, who worked for Morgan Stanley Smith Barney, discloses client disputes via Financial Industry Regulatory Authority (FINRA) BrokerCheck. Notably, Morgan Stanley Smith Barney clients allege unsuitable trading. For more on these disclosures about Sain, see below. Morgan […]

July 27, 2023
Investors Complain About Kevin Fles

Soreide Law Group is investigating possible investor claims against Kevin Thomas Fles (CRD: 4747383, Sikeston, Missouri). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Cetera Advisors LLC. Evidently, one or more investors alleged misconduct in these disputes, including that Fles made unsuitable […]

July 2, 2023
Investor Dispute About Vincent Weir

Soreide Law Group is investigating possible investor claims against securities broker Vincent Maley Weir (CRD: 3118881, Houston, Texas). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Wells Fargo Clearing Services LLC. Supposedly, one or more individuals claim that Weir made unsuitable recommendations. […]

June 27, 2023
FINRA Issues Suspension To Steven Netzel

The Financial Industry Regulatory Authority (FINRA) reports important information about securities broker Steven M. Netzel (also known as Steve Netzel) (CRD: 2863170, Chandler, Arizona). Not only has FINRA sanctioned Netzel for unsuitable recommendations, but one or more investors disputed the sales practices of the securities broker. However, Netzel denies the allegations. Read on to learn […]

June 16, 2023
Investor Dispute About Craig Accardo

Soreide Law Group is investigating possible investor claims against securities broker Craig Gerard Accardo (CRD: 3000762, Metairie, Louisiana). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for FSC Securities Corporation. Supposedly, one or more individuals claim that Accardo made unsuitable recommendations regarding investments. […]

May 31, 2023
Investors File Disputes About Arthur Grossbard

Soreide Law Group is investigating possible investor claims against securities broker Arthur Grossbard (also known as Artie Grossbard) (CRD: 1020971, West Orange, New Jersey). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Royal Alliance Associates Inc. Evidently, investors allege sales practice violations […]

May 25, 2023
Investors File Disputes About Matthew Shaughnessy

Soreide Law Group is investigating possible investor claims against securities broker Matthew Shaughnessy (CRD: 2457058, Henderson, Nevada). Specifically, Financial Industry Regulatory Authority (FINRA) BrokerCheck discloses that investors disputed the sales practices of the securities broker, who worked for Ameriprise Financial Services LLC. Evidently, investors allege sales practice violations in these disputes, including that Shaughnessy engaged […]

April 30, 2023
FINRA Sanctions Leonid Yurovsky

Soreide Law Group is investigating possible investor claims against securities broker Leonid Yurovsky (also known as Lenny Yurovsky) (CRD: 4554905, Mineola, New York). Particularly, FINRA sanctioned the securities broker, who worked for Joseph Stone Capital LLC. Allegedly, Yurovsky engaged in unsuitable and excessive trading. Here is a brief summary of FINRA’s allegations against Yurovsky. FINRA […]

March 28, 2023
FINRA Sanctions Stewart Schram

Soreide Law Group is investigating possible investor claims against Stewart Schram (also known as Stewart Irwin Schram) (CRD: 1711571, Northbrook, Illinois). Evidently, FINRA sanctioned the securities broker, who worked for Kingsbury Capital Inc. Allegedly, Schram engaged in an undisclosed outside business activity and in private securities transactions. Here is a brief summary of FINRA’s allegations […]

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