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February 24, 2022
Peter David In Woodbury Investors’ Suitability Disputes

Woodbury Financial Clients Allege Sales Practice Violations By Broker Peter David The Financial Industry Regulatory Authority (FINRA) BrokerCheck contains important information regarding securities broker Peter Werner David (CRD#: 1133608, Waukesha, Wisconsin). Namely, David, who worked for Woodbury Financial Services from February 2009 to July 2018, is involved in two client disputes. Notably, investors allege sales […]

July 18, 2021
Andre Senegal Faces Dispute From NYLife Client

NYLife Securities Client Files Dispute Involving Securities Broker Andre Senegal Evidently, FINRA BrokerCheck contains new information in regard to securities broker Andre Pierre Senegal (CRD#: 6065655, Oakbrook Terrace, Illinois). Namely, two investor disputes involve Senegal – the most recent of which is from November 2020. Also, OneAmerica Securities (his employer in 2020) permitted him to […]

January 12, 2021
Sudesh Jain Targeted In NYLife Investors’ Disputes

NYLife Investors Complain About Broker Sudesh Jain Investor Alert! The Financial Industry Regulatory Authority (“FINRA”) reports that seven investor disputes are on the BrokerCheck record of securities broker Sudesh Kumar Jain (CRD#: 1325905, Dayton, Ohio). Evidently, Jain worked for NYLife Securities until 2016 and joined MML Investors Services in August 2017. Notably, investors indicate in […]

October 21, 2014
New Hampshire Broker Fined and Suspended Over Sales of Variable Universal Life Policies (VULs)

Alan J. Becker (CRD #4870553, Bedford, New Hampshire) was assessed a deferred fine of $46,045, including the disgorgement of commissions received for $36,045, and was suspended by FINRA for 18 months for allegedly making unsuitable recommendations to six clients in the sales of variable universal life policies (VULs) based on their financial situations. FINRA's findings […]

October 23, 2012
Miami Rep Censured and Fined by FINRA

Andrew Martin Abern (CRD #1610607, Registered Principal, Miami, Florida) was censured and fined $25,000. Without admitting or denying the findings, Abern consented to the described sanctions and to the entry of findings that he provided some customers with VA expense disclosure forms that contained inaccurate information; the forms understated the annual expenses that would be […]

June 21, 2012
James Thomas Corne, South Carolina, Suspended and Fined by FINRA for Falsifying Customers' Signatures

  James Thomas Corne (CRD #4184489, Registered Representative, Duncan, South Carolina)   fined $5,000 and suspended from association with any FINRA member in any capacity for three months.  Without admitting or denying the findings, Corne consented to the described sanctions and to the entry of findings that he falsified customers’ signatures on various securities and non-securities-related […]

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