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FINRA Broker Disclosures for Merrill Lynch, Pierce, Fenner & Smith Incorporated

Our Staff has compiled our research into a database of FINRA Broker Disclosures for Merrill Lynch, Pierce, Fenner & Smith Incorporated. Search or filter the database to find more about a specific broker.

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Displaying 4,051-4,060 out of 4,068 results
Name CRD Total Disclosures Filing Date Disclosure Type Disclosure Status Damages Requested Damages Granted FINRA Reports
Scott Stagg Eccker719469307/28/1986Customer DisputeSettled$0.00$0.00See FINRA Report
Scott Stagg Eccker719469302/26/1986Customer DisputeSettled$95,000.00$0.00See FINRA Report
Richard Edward Ryall408065402/11/1986Customer DisputeSettled$4,000.00$0.00See FINRA Report
Mark Clarence Carlson1024633912/18/1985Customer DisputeSettled$36,400.00$0.00See FINRA Report
Mark Clarence Carlson1024633912/17/1985Customer DisputeSettled$59,500.00$0.00See FINRA Report
Joseph M Grunfeld702415211/21/1985Customer DisputeSettled$200,000.00$0.00See FINRA Report
Mark Clarence Carlson1024633910/09/1985Customer DisputeSettled$46,000.00$0.00See FINRA Report
Timothy R Cass705999109/30/1985Customer DisputeSettled$1,000,000.00$0.00See FINRA Report
Alan Glenn Kyle866427104/30/1985Customer DisputePending$0.00$0.00See FINRA Report
Kevin Walter Kolmer832957103/01/1985Customer DisputeSettled$57,713.10$0.00See FINRA Report

4,068 Results

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