Investigating Complaints Against Marc Allen Miller and Raymond James & Associates, Inc.

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Did you suffer investment losses after working with Marc Allen Miller, II a/k/a Marc Miller, a broker and financial advisor registered with the Financial Industry Regulatory Authority (FINRA) through the Port Charlotte, Florida office of Raymond James & Associates, Inc. (Raymond James) If so, the attorneys of Investment Loss Recovery Group want to help you. We are now investigating potential complaints against Marc Miller.

Our law firm works with clients nationwide who have lost money due to the negligence and/or misconduct of brokers and financial advisors whom they had trusted to provide sound investment advice and to ethically and responsibly handle their accounts. We bring more than 40 years of combined legal experience to our clients as well as in-depth knowledge of the financial services industry. Both of our attorneys have backgrounds as licensed securities brokers and as defense counsel for large Wall Street brokerage firms.

Contact us today if you incurred investment losses after working with Mr. Miller or Raymond James. We will review your potential claims in a free and confidential consultation.

Who Is Marc Allen Miller, II?

You can find information about Marc Allen Miller, II (CRD# 4521825) through two databases which are available online and accessible by the public, the FINRA Central Registration Depository (CRD) and Investment Adviser Registration Depository (IARD). Based on his FINRA BrokerCheck Report and his IARD Public Disclosure Report:

Mr. Miller has worked in the financial services industry since 2002. Over the course of his career, he has been registered with several FINRA firms, he has been registered through:

  • Edward Jones in Port Charlotte, FL. (2002-2008)
  • Morgan Keegan & Co., Inc. in Sarasota, FL. (2008-2013)
  • Raymond James & Associates, Inc. in Port Charlotte, FL. (2013 present)

FINRA Brokercheck records reflect Mr. Miller was registered with a FINRA Series 7 license in 2002, Series 63 license in 2002, and Series 66 license in 2007.  Mr. Miller’s FINRA Brokercheck report discloses three customer dispute disclosures.

What is the Recent Customer Dispute Reported on Marc Miller’s FINRA Brokercheck?

The most recent customer dispute disclosure on Marc Miller’s FINRA Brokercheck was filed in November 2018 and remains pending (as of March 2019) and includes allegations of contract, negligence, fraud, misrepresentation, and other allegations. See FINRA Brokercheck report for additional details.

How Can You Recover Investment Losses Involving Mr. Miller or Raymond James?

If you suffered investment losses involving Mr. Miller or Raymond James or if you suspect your accounts or investments were handled negligently or improperly, you may wish to seek legal advice and a no-cost review of your accounts or investments as soon as possible. You may be entitled to a recovery of your losses in addition to other damages. You may also have the right to file a private, confidential FINRA complaint against any broker, or brokerage firm that failed to properly handle your investment account, or may have failed to adequately supervise your investment accounts, or Mr. Miller’s conduct as a broker and financial advisor.

The skilled securities arbitration and investment fraud lawyers of Investment Loss Recovery Group have an insider’s view of the legal and regulatory issues that can affect a case, and we understand how brokerage firms evaluate these matters. We can review your case and present you with a strategic plan to help you recover your investment losses as expeditiously as possible.

We serve clients throughout the country. Contact us today for a free consultation and find out more about how we can assist you.

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