Armand Pierre Bryant of El Cajon California a stockbroker formerly registered with Merrill Lynch Pierce Fenner Smith incorporated is the subject of a customer initiated investment related complaint on January 10, 2019 in which the customer sought unspecified damages supported by accusations that Bryant gave the customer inappropriate advice with regard to fixed annuities purchased for the customer’s account.

Financial Industry Regulatory Authority (FINRA) Public Disclosure additionally confirms that on June 7, 2018, a customer filed an investment related written complaint involving Bryant’s conduct that settled for $50,000.00 in damages based upon allegations that while Bryant was associated with TD Ameritrade, Inc., high pressure sales tactics were used to induce the customer’s certificate of deposit purchases.

Bryant’s registration with Merrill Lynch Pierce Fenner Smith Incorporated has been terminated as of February 8, 2017. Between May 16, 2017 and February 18, 2018, he was associated with Scotttrade, Inc. On February 15, 2018, Bryant became employed by TD Ameritrade, Inc.

The information contained herein has been obtained from reliable sources however may not be accurate and is not guaranteed by us. Readers are encouraged to undertake their own independent investigation and evaluation of the relevant facts. All claims and allegations are subject to adjudication, decisions may be subject to appeal, and no inference is intended, nor should any inference be made from any information contained herein from any source.

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Guiliano Law Group, P.C.

Our practice is limited to the representation of investors. Over the last three decades, we have recovered more than a hundred million dollars for more than 1,000 injured investors from all over the United States and several foreign countries. We accept representation purely on a contingent fee basis, meaning there is no cost to you unless we make a recovery for you. There is never any charge for a confidential consultation or an evaluation of your claim. For more information, contact us at (877) SEC-ATTY.

For more information concerning common claims against stockbrokers and investment professionals, please visit us at stockbrokerfraud.com

To learn more about FINRA Securities Arbitration, and the legal process, please visit us at securitiesarbitrations.com

Stockbroker Fraud. Securities Arbitration and Investment Fraud Lawyers.  
National Practice. Contingent Fee. Confidential Free Consultation. (877) SEC-ATTY

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