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Ressources

Ressources

Resources no sidebarSteven Chong2022-08-18T14:10:16-04:00
  • Broker / Advisor Investigations

    SEC Shuts Down Zera Financial LLC Offering Fraud Involving Alleged 36% Annual Returns and FDIC Insurance Claims

    SEC Shuts Down Zera Financial LLC Offering Fraud Involving Alleged 36% Annual Returns and FDIC Insurance Claims

    May 18, 2026
  • Broker / Advisor Investigations

    Broker Investigation Alert: Michael Delafuente of Stifel Nicolaus Faces Investor Complaints and Suitability Concerns

    Michael Delafuente, a financial advisor associated with Stifel, Nicolaus & Company, Incorporated, has been the subject of customer complaints alleging unsuitable investment recommendations and related misconduct. Publicly available regulatory records indicate that these complaints involve concerns regarding whether certain investment strategies were appropriate for the investors’ financial objectives, risk tolerance, and overall profile. Key Allegations [...]

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  • Broker / Advisor Investigations

    Broker Investigation Alert: James Pecoraro of Spartan Capital Faces FINRA Churning and Fraud Allegations

    What Happened James Pecoraro, a broker associated with Spartan Capital Securities, LLC, has been named in a FINRA disciplinary complaint alleging widespread churning and excessive trading over a multi-year period. The complaint alleges that Pecoraro and other representatives engaged in a pattern of high-frequency trading designed to generate commissions, resulting in substantial investor losses and [...]

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  • Broker / Advisor Investigations

    Broker Investigation Alert: Eijroghene Okuma Guilty Plea Highlights Severe Elder Financial Exploitation Risks

    What Happened Eijroghene Okuma, a former financial advisor associated with Edward Jones, has pleaded guilty to wire fraud in connection with a scheme that defrauded an elderly client of nearly $10 million (https://www.justice.gov/usao-ndga/pr/investment-advisor-pleads-guilty-defrauding-elderly-client-out-nearly-10-million). According to federal prosecutors, the misconduct spanned multiple years and involved the systematic misuse of client funds, unauthorized account activity, and deceptive [...]

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  • Broker / Advisor Investigations

    Broker Investigation Alert: Dave Stone of Stifel Nicolaus Faces Investor Complaints and Suitability Concerns

    Dave Stone, a financial advisor associated with Stifel, Nicolaus & Company, Incorporated, is the subject of investor complaints and scrutiny related to investment recommendations and account management practices. Reported claims and investigations focus on whether certain recommendations made to clients were consistent with their financial objectives, risk tolerance, and overall suitability profile—a core requirement under [...]

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  • About
  • Practice Areas
    • Investor Losses
    • Securities Class Actions
    • Whistleblower Representation
  • Attorneys
    • Jeffrey R. Sonn, Esq. | Founder of Sonn Law Group
    • Adolfo J. Anzola | Securities Fraud & FINRA Arbitration Attorney
    • Brian B. Pastor Esq. | Commercial & Securities Litigation Attorney
  • Investor Insights
    • FINRA Complaint & Disciplinary Watch
  • Blog
  • Contact
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