Since March 2018, the Former Cambridge Investment Research advisor has been hit with six customer disputes demanding over $1.4 million in damages Did you lose[...]
Broker / Advisor Investigations
History of Misrepresenting Customer Information If you’ve lost money investing with Jason Nelson or LPL Financial, you may have a claim. Contact Sonn Law today[...]
Finra suspended David Strnad for executing over 250 transactions outside the authority given by his elderly client Did You Lose Money Investing with Morgan Stanley? Sonn Law[...]
History of Customer Disputes for Unsuitable Investments The Sonn Law Group is currently investigating Frank Kelly for alleged unsuitable investments. If you suffered losses working[...]
Benjamin Weldon Suspended for Failure to Provide FINRA with Information Upon Request The Sonn Law Group is actively investigating claims involving former State Farm broker Benjamin[...]
Former Morgan Stanley Financial Advisor Herbert Hafen is Being Investigated for Misappropriation of Client Funds The Sonn Law Group is currently investigating claims against former Morgan[...]
A FINRA Arbitration Claim Alleges that Matthew Crafa Offered Unsuitable GPB Capital Promissory Notes to Investors The Sonn Law Group is currently investigating Royal Alliance[...]
We are Investigating Former Coastal Equities Broker Dudley Stephens for Unauthorized Transactions The Sonn Law Group is investigating claims involving former securities broker Dudley F.[...]
Did You Lose Money Investing in UBS Financial Structured Notes? Call Us to Discuss Your Case The Sonn Law Group is currently investigating claims related to[...]
Edward Conrekas Was Terminated By Morgan Stanley After Allegations of Misconduct The Sonn Law Group is interested in hearing from investors who suffered losses working[...]
