Investors who worked with Banc Of America Securities sometimes face losses tied to unsuitable recommendations, supervisory failures, or products that carried more risk than they understood. If you believe Banc Of America Securities or one of its representatives caused or contributed to your investment losses, you may have a claim through FINRA arbitration or another recovery path. Investment Fraud Lawyers represents investors nationwide and offers a free, no-obligation case review.
Call us today at 1-888-885-7162 for a free consultation.
About Banc Of America Securities
Banc Of America Securities is a registered broker-dealer or financial services firm. The firm’s CRD number is 42263. Investors can review its regulatory history, disclosure events, and associated representatives through FINRA BrokerCheck.
Regulatory and investor-loss history
January 2025: $250,000 FINRA fine for TRACE reporting failures. August 2024: ~$3 million total penalties for inadequate manipulative-trading surveillance. May 2024: $98,000 for Regulation M violations.
How investors may recover losses
When a brokerage firm or its representative recommends unsuitable investments, fails to supervise an account, or misrepresents risks, investors can seek compensation. Our securities attorneys handle FINRA arbitration claims and work to recover losses caused by misconduct.
Call 1-888-885-7162 today for a free case review. We work on a contingency fee basis, so you owe no fee unless we recover compensation for you.
Brokerage firm investor loss directory
Explore related brokerage firm pages below:
Arete Wealth Management investor losses and complaints
Arkadios Capital investor losses and complaints
