PROTECTING INVESTOR RIGHTS NATIONWIDE
Representing victims of investment fraud, broker negligence, and advisor misconduct nationwide.
Strategic representation for investors seeking recovery from financial misconduct.
Sonn Law Group represents investors nationwide in FINRA arbitration, securities litigation, and complex investment recovery matters.
Collective legal action designed for meaningful financial recovery.
When widespread misconduct impacts groups of investors, a unified legal strategy can drive powerful results. Sonn Law Group represents clients in complex class actions involving securities fraud, corporate wrongdoing, and large-scale financial harm.
Confidential advocacy for individuals reporting financial misconduct and corporate wrongdoing.
Sonn Law Group represents whistleblowers in matters involving securities fraud, tax fraud, corporate misconduct, and other violations impacting investors and the public.
David Kangas Investor Investigation: WealthForge Securities Broker Faces Customer Complaints Involving 1031 Exchange and DST Investments
Multiple reported complaints involving David Kangas and WealthForge Securities allege investor losses connected to Delaware Statutory Trust investments and 1031 exchange strategies.
Adam Stern Investor Investigation: Customer Complaint Seeks Over $10 Million For Private Placement and Micro-Cap Losses
A reported investor complaint involving Adam Stern, formerly associated with Aegis Capital Corp. and ThinkEquity LLC, seeks more than $10 million in damages tied to private placements and micro-cap securities investments.
SEC Charges Reign Financial and Berone Capital: What Investors Need to Know About Potential Recovery Options
The SEC has charged Reign Financial International and Berone Capital in connection with an alleged $26 million investment scheme. Investors may have recovery options beyond the SEC's enforcement action.
Andrew Left Convicted of Securities Fraud: What the Citron Research Verdict Means for Investors
Andrew Left, founder of Citron Research, was convicted of securities fraud in a case involving alleged market manipulation through public commentary and private trading. The verdict raises major questions about investor reliance, short-selling disclosures, and market-moving statements.
Market Watch: Broker and Advisor Complaints Investors Should Know About
This Market Watch roundup highlights recent broker and advisor complaints involving firms such as Morgan Stanley, Merrill Lynch, LPL Financial, Ameriprise, J.P. Morgan Securities, Edward Jones, Osaic Wealth, Aegis Capital, and others.
SEC and FINRA Refocus on Fraud, Supervision, and Investor Harm: What Brokerage Customers Should Know
Recent SEC and FINRA guidance highlights renewed regulatory focus on fraud, investor harm, broker-dealer supervision, AML controls, Reg BI, and private placement due diligence.








