The Sonn Law Group is investigating claims related to Corinne Renae Mittag (FINRA CRD#: 2754498). Corinne Mittag worked in the securities industry from 1996 until[...]
Investment Loss Investigations
The Sonn Law Group is investigating claims related to Samuel Frederik Lek (FINRA CRD#: 1642936), CEO of Lek Securities Corporation. FINRA alleges that Samuel Lek[...]
The Sonn Law Group is investigating claims related to former PRIMEX broker William F. White (FINRA CRD Number: 2168943). Mr. White has been employed as[...]
The Sonn Law Group is investigating claims related to former Morgan Stanley Investment Advisor Barry Connell (FINRA CRD#: 702460). According to the SEC Barry Connell[...]
The Sonn Law Group is currently investigating VSR Financial. Detailed information about the brokerage firm can be found by referencing CRD#: 14503. Recently, the Overland[...]
The Sonn Law Group is investigating claims related to former Oppenheimer and UBS broker Bennett Scott Broad (FINRA CRD#: 702460). Mr. Broad has 28 customer[...]
On March 1st, 2017, the Financial Industry Regulatory Authority (FINRA) Department of Enforcement issued a formal complaint against Cecil E. Nivens, also known as Ernie[...]
Sonn Law Group is investigating claims regarding Darlene Kay Bandy (CRD number 11744, Bellflower, California). Bandy recently submitted an Acceptance, Waiver & Consent (“AWC”) in[...]
At the Sonn Law Group, our securities fraud attorneys are actively investigating any fraud claims involving Lightspeed Trading, LLC. If you are currently invested with[...]
The Sonn Law Group is investigating any and all fraud claims pertaining to investment advisor Austin Wayne Morton. According to records provided by the Financial[...]
