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FINRA Broker Disclosures for B. Riley Wealth Management

Our Staff has compiled our research into a database of FINRA Broker Disclosures for B. Riley Wealth Management. Search or filter the database to find more about a specific broker.

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Displaying 141-150 out of 159 results
Name CRD Total Disclosures Filing Date Disclosure Type Disclosure Status Damages Requested Damages Granted FINRA Reports
Andrew Barry Grossman1288828603/04/1993Customer DisputeSettled$0.00$0.00See FINRA Report
James Baroutas1252613401/08/1993Customer DisputeSettled$100,000.00$0.00See FINRA Report
Howard Marcus7340171110/13/1992Customer DisputeSettled$35,000.00$0.00See FINRA Report
Howard Marcus7340171107/01/1992Customer DisputeSettled$15,500.00$0.00See FINRA Report
Howard Marcus7340171103/01/1992Customer DisputeSettled$12,750.00$0.00See FINRA Report
George Edward Thiergartner1123867409/01/1991Customer DisputeSettled$0.00$0.00See FINRA Report
Howard Marcus7340171108/08/1991Customer DisputeSettled$53,000.00$0.00See FINRA Report
Jeffrey Allen Gelber1820592405/08/1991Customer DisputeSettled$39,253.60$0.00See FINRA Report
Jay Thoburn Brown32494303/14/1991Customer DisputeSettled$15,228.70$0.00See FINRA Report
George Edward Thiergartner1123867402/20/1991Customer DisputeSettled$258,000.00$0.00See FINRA Report

159 Results

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