The Sonn Law Group has substantial experience representing investors who have suffered losses because of stockbroker fraud and other forms of misconduct. Call us today[...]
Morgan Stanley
The Sonn Law Group has substantial experience representing investors who have suffered losses because their advisor violated FINRA’s rule against outside business activities. Call us[...]
This article was originally published by AdvisorHub.com The Financial Industry Regulatory Authority suspended a former Morgan Stanley broker in Birmingham, Mich., for seven months and[...]
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[...]
Washington D.C., Feb. 14, 2017 — The Securities and Exchange Commission today announced that Morgan Stanley Smith Barney has agreed to pay an $8 million[...]
The Sonn Law Group is currently investigating claims pertaining to Patrick D. Combs, a registered financial advisor who was previously employed by Morgan Stanley. Investors[...]
Have you ever invested any of your hard-earned assets with financial broker Ralph Marra? If so, it is imperative that you are aware of past[...]
Sonn Law Group is investigating claims regarding Ronald Seth Cohen (CRD #2419431, Boca Raton, Florida). Cohen recently submitted an Acceptance, Waiver & Consent (“AWC”) in[...]
Sonn Law Group is investigating claims regarding Patrick James Manriquez (CRD #4073542, Beaumont, Texas). Manriquez recently submitted an AWC in which he permanently was barred[...]
Sonn Law Group is investigating claims regarding Debra Kaye Lyman (CRD #1100820, West Jordan, Utah), also known as Debra Kaye Browning. Lyman recently submitted an[...]