When investors experience significant losses due to broker misconduct or unsuitable investment advice, the first question is often simple and urgent: Is there a way to recover what was lost? For many investors, the answer lies in FINRA arbitration, a dispute resolution process designed specifically for claims against brokerage firms and financial advisors. Understanding how [...]
According to publicly available FINRA BrokerCheck (https://brokercheck.finra.org/) records, Sonn Law Group is reviewing disclosures involving Walter Nelson (CRD# 2275929), a securities broker who was formerly associated with Arete Wealth Management, LLC and Arete Wealth Advisors, LLC. Investors who worked with Mr. Nelson and suffered losses may have questions about their legal options and whether recovery [...]
Did you lose money investing with Emerson Equity LLC broker Thomas Justice (CRD# 2786145)? Sonn Law Group is currently investigating potential claims involving Mr. Justice regarding allegations of unsuitable investment recommendations. Thomas Justice has been registered with Emerson Equity LLC in San Mateo, California, since 2020. His previous registrations include: Thomas Justice Customer Complaints & Disclosures According to [...]
Sonn Law Group is currently investigating potential legal claims involving Joseph Kocsis (CRD# 2423884), a registered broker with Great Point Capital LLC. According to his FINRA CRD report, Mr. Kocsis has been the subject of multiple customer disputes involving high-value real estate investments. Joseph Kocsis has been registered with Great Point Capital LLC in Chicago, [...]
Resources no sidebarSteven Chong2022-08-18T14:10:16-04:00


