Lars Soreide, Owner, SOREIDE LAW GROUP PLLC

Last Update

2016-10-19T00:00:00.000Z

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Lars Soreide

HQ Phone: (954) 760-6552

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SOREIDE LAW GROUP PLLC

2335 E. Atlantic Blvd Suite 405

Pompano Beach, Florida 33062

United States

Company Description

Located at 2335 E. Atlantic Blvd., Suite 405, in Pompano Beach, Fla., Soreide Law Group, PLLC is committed to helping victims recover investment losses due to fraudulent or negligent conduct on behalf of their broker or financial advisors. The firm repres ... more

Find other employees at this company (1)

Background Information

Affiliations

Member
Public Investors Arbitration Bar Association

Member
The Florida Bar

Web References (124 Total References)


Lars Soreide - Soreide ...

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Lars Soreide - Soreide Law Group


Securities Lawyers | Soreide Law Group

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Lars Soreide, Esq. Bar Admissions:

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As the owner of Soreide Law Group, PLLC, securities lawyer, Lars Soreide, provides legal representation to investors nationwide before the Financial Industry Regulatory Authority ("FINRA") and services his clients both before FINRA nationwide and South Florida courts.
Mr. Soreide gained valuable knowledge of the securities arbitration process having after working for the Financial Industry Regulatory Authority (FINRA) in their Southeast regional office in Boca Raton. Mr. Soreide is a member of the Public Investors Arbitration Bar (PIABA) and has been featured three times in the Public Investors Arbitration Bar Journal for having had obtained awards of national significance.
Mr. Soreide's clients are individuals who have been defrauded by their investment professionals. Mr. Soreide has personally handled over 250 FINRA securities arbitration cases, including claims against most all of the FINRA registered broker-dealers that are the largest broker dealers in the world including Wells Fargo, Merrill Lynch, Goldman Sachs, Charles Schwab, UBS, National Securities, Morgan Stanley, J.P.
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Mr. Soreide graduated cum laude with a Bachelor's degree in Business Administration from the University of Miami. He graduated magna cum laude from St. Thomas University School of Law and was the salutatorian (ranked second) of his law school class. Lars Soreide has extensive knowledge regarding securities regulation and compliance matters and held a U.S. Patent.
Lars Soreide In The News: Click Here For Sun Sentinel News Interview "Ask The Expert" Segment in 2011 with securities lawyer, Lars Soreide. Click Here For a RGJ.com News article featuring Lars Soreide. The article mentions how Mr. Soreide was ahead of the curve and recovered money for investors defrauded by Gary Lane even before Gary Lane was indicted.
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Click Here October 2013: Lars Soreide interviewed for Investment News regarding UBS Puerto Rico Bond Fund Losses.
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Mr. Soreide was the first securities lawyer to discover the 97% decline in Mustaphalli's hedge fund and file actions against him.
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Click Here to see Lars Soreide honored by Super Lawyers by selecting him to the 2015 Rising Stars.
Click Here to see Lars Soreide quoted in the news regarding former broker Enver Rahman Alijaj.
Click Here to read about a case Lars Soreide filed against Ameriprise Financial for a single investor who realized a loss of $15,000,000.
Click Here Lars Soreide quoted in Onwallstreet about the FINRA arbitration process.
View Lars Soreide's profile on LinkedIn
Mr. Lars Soreide, Esq. has assisted investors in making claims for recovery in auction rate securities, regulation D private placements, principal protected notes, reverse convertible notes, bank preferred shares, Fannie Mae/Freddie Mac preferred shares, junk bonds, promissory notes, viatical settlements, life settlements, stoli's, insurance scams, and has brought claims on behalf of investors for failure to execute, fraud, elderly abuse, unauthorized trades, churning, excessive use of margin, civil theft, over-concentration and other unsuitable or overly aggressive trading strategies.


Lars Soreide, of Soreide Law ...

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Lars Soreide, of Soreide Law Group, has been quoted in several national publications regarding the lawsuits he has filed against Puerto Rican bond sales on behalf of his clients.

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bond rating downgraded in Puerto Rico · FINRA Puerto Rican bond claims · Lars Soreide UBS Puerto Rico FINRA lawyer · PR Bond Losses · Puerto Rico bond fund loss lawyer · Puerto rico bond loss lawyer · puerto rico junk bond sales · S&P lowers PR bond rating


Stock Market Lawsuit

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Soreide Law Group and its principal, Lars Soreide, Esq., has received national and international press for its successful representation of investors.


Lars Soreide · Securities Lawyer Blog

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Lars Soreide Lars Soreide · Securities Lawyer Blog

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TAG | Lars Soreide
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Lars Soreide, of Soreide Law Group, Quoted in Texas Newspaper Regarding Clients He is Representing Against Matthew A. Bell and WFG Investments, Inc.
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Lars Soreide of Soreide Law Group is representing some of Bell's clients who have filed claims with the Federal Industry Regulatory Authority (FINRA) against Bell.
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Soreide said in the article that his clients were accredited investors. However, he said the private placement was still unsuitable for them because it's an illiquid investment and it represented a substantial portion of their net worth.
"Truthfully, I don't think they know what the hell they even bought," Soreide said.
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"He actually prayed with some of my clients before they bought investments," Soreide said. "Talk about insanity."
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Alberto Neira barred by FINRA · Alberto Neira LPL broker · Alberto Neira Silver Oak Leasing losses · brokerage supervisory deficiencies · brokers recommending risky investments · failure to supervise brokers · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · finra lawyer · fort lauderdale securities fraud lawyer · high risk investments · inadequate supervisory procedures by broker/dealers · Lars Soreide · Linsco Private Ledger · LPL · LPL Financial LLC · risky investments · selling away scheme · Silver Oak Leasing · Silver Oak Leasing losses · Soreide Law Group PLLC · Stock fraud lawyer · Unsuitable investments to elderly
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If you feel you have been involved in this or any other rip-off to the investors by broker/dealers, call Lars Soreide of Soreide Law Group, PLLC, for a free consultation on how to potentially recover your losses. To speak with an attorney call 888-760-6552, or visit our website and complete our online form at: http://www.securitieslawyer.com.
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brokerage supervisory deficiencies · brokers recommending risky investments · brokers selling complex products · complex products sold by brokers · Complex REITs · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · finra lawyer · fort lauderdale securities lawyer · high risk investments · high-risk private placements · inadequate supervisory procedures by broker/dealers · Lars Soreide · LPL Financial LLC · LPL nontraded REITs · LPL sued by Massachusetts · Non traded REIT loss · non-traded real estate investment trusts · Nontraded REIT loss lawyer · Nontraded REITs · private placements · REITs · securities lawyer · Soreide Law Group PLLC · Unsuitable investments to elderly
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5% broker dealer markup rule · 5% commission by brokers · 5% markup and markdown FINRA · brokerage supervisory deficiencies · complaints about stock markups · eliminate 5% policy with brokers · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · FINRA end 5% markup rule · finra lawyer · FINRA NTM 13-07 · finra securities arbitration lawyer · FINRA update 5% threshold · fort lauderdale securities lawyer · inadequate supervisory procedures by broker/dealers · investor check tickets for markup · Lars Soreide · securities lawyer · Soreide Law Group PLLC
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Securities Lawyer, Lars Soreide, points out that, "One of the errors investors make in TIC cases is to assume that the unit value of the investment equals the property value divided by the units. When TIC cases are litigated, "many of these cases bog down in property valuation when in reality the issue in not the property value but the investment value, which is next to worthless even if the property has residual value. Think of this way, who would buy a unit in this investment given that the purchaser would have to take on 150% on additional debt, give up all property rights to become a tenant in common that is worthless as collateral and cannot be turned into cash? Given the structure of ownership with loans with covenants signed by the sponsor and cross collateralized usually, property value is secondary in these cases. Often these investments are sold by a stock broker or financial adviser because a Tenant-in-Common Investment is a security. In a FINRA arbitration, "often Respondents/Defendants put on an appraiser to prove the property value, but there is an objection on relevance of this testimony because the appraiser does not opine on the market value of the security on the notional value of the unit which is usually not much at all if anything," says Soreide.
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1031 exchange · 1031 tax deferred tic investment · 1031 tic · brokerage supervisory deficiencies · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · finra lawyer · finra securities arbitration lawyer · Ft. Lauderdale Securities Lawyer · high risk investments · inadequate supervisory procedures by broker/dealers · investing in TICs · IRS code Section 1031 · Lars Soreide · section 1031 · Soreide Law Group PLLC · supervisory failures · Tenant-in-common exchanges · Tenant-in-Common investment considerations · Tenants in Common · TIC losses · TIC losses Lawyer · TICs
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Securities Lawyer, Lars K. Soreide, of Soreide Law Group, represents clients nationwide before FINRA. If you or a loved one have sustained investment losses due to your stock broker or financial advisor's recommendations, call for a free consultation on how to potentially recover your losses. To speak with an attorney call 888-760-6552, or visit our website at: http://www.securitieslawyer.com.
brokerage supervisory deficiencies · brokers recommending risky investments · Charles Mason FINRA · Charles Tuttle Mason · Chip Mason St Petersburg Beach FL · Darren Duane Gibson Oceanside CA · Darren Gibson FINRA · failure to supervise brokers · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · Ft. Lauderdale Securities Lawyer · high risk investments · inadequate supervisory procedures by broker/dealers · Lars Soreide · misleading marketing materials · misleading marketing materials by brokers · misleading statements in marketing materials by brokers · non-registered entity to retail broker-dealers · non-registered offerings · oil and gas investment loss · oil and gas investment losses · oil and gas schemes · risky investments · Soreide Law Group PLLC · supervisory failures · Unsuitable investments to elderly
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Securities Lawyer, Lars K. Soreide, of Soreide Law Group, who represents clients nationwide before FINRA. For a free consultation with an attorney on how to potentially recover your losses, call 888-760-6552, or visit our website at: http://www.securitieslawyer.com.
Broker failure to respond to FINRA requsest for information · brokerage supervisory deficiencies · failure to respond to FINRA · failure to respond to FINRA on felony arrest · failure to respond to FINRA on termination from firm · failure to supervise brokers · Financial Industry Regulatory Authority · FINRA · finra lawyer · finra securities arbitration · fort lauderdale securities fraud lawyer · Ft. Lauderdale Securities Lawyer · inadequate supervisory procedures by broker/dealers · Lars Soreide · securities lawyer · Soreide Law Group PLLC · Stock fraud lawyer · stockbroker misconduct · supervisory failures · William Earl Manley Sarasota FL · William Manley barred by FINRA · William Manley FINRA
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Securities Lawyer, Lars K. Soreide, of Soreide Law Group, represents clients nationwide before FINRA. If you or a loved one have sustained investment losses due to your stock broker or financial advisor's recommendations, call for a free consultation on how to potentially recover your losses. Visit our website at: http://www.securitieslawyer.com.
Bambi Holzer · Bambi Holzer Newport Coast Securities · Bambi I Holzer Beverly Hills CA · brokerage supervisory deficiencies · brokers recommending risky investments · Brookstreet Securities Corp. · failure to supervise brokers · Financial Industry Regulatory Authority · FINRA · FINRA arbitration · F

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