RedFlag, Allegation and/or Complaint against RONNIE EUGENE MILLER
Disclosure #1 for RONNIE MILLER
-
- Event Date: 3/16/2009
- Disclosure Type: Customer Dispute
- Disclosure Resolution: Settled
- Disclosure Detail :: Allegations: UNSUITABLE INVESTMENTS, MISREPRESENTATION, OMISSION, VIOLATIONS OF THE INDIANA SECURITIES ACT AND REGULATIONS, VIOLATIONS OF NASD CONDUCT RULES, BREACH OF CONTRACT, CONSTRUCTIVE FRAUD, BREACH OF FIDUCIARY DUTY, RESPONDEAT SUPERIOR, NEGLIGENCE, NEGLIGENT SUPERVISION
- Damage Amount Requested: $584,101.83
- Settlement Amount: $191,000.00
- Arbitration Docket Number: 09-00945
Should I file a FINRA complaint against brokers like RONNIE EUGENE MILLER?
Many investors (presumably, like yourself) are unaware of the legal recourse available to them after losing money due to securities broker fraud and/or negligence. The truth is that investors who lost money in this fashion may actually be entitled to damages. You may suffer significant losses at the hands of your financial advisors’ misconduct, such as if they misrepresented or failed to disclose the risks associated with a particular investment, recommended frequent trades for the sole purpose of generating commissions, or used high-pressure tactics to make a sale. The rules and regulations of securities laws and FINRA policies are complex, and investment loss claims require an extensive understanding of securities arbitration to achieve the best possible results.
Frequently Asked Questions About RONNIE EUGENE MILLER
What is RONNIE MILLER's Central Registration Depository (CRD) Number?
Which firm is RONNIE EUGENE MILLER associated with?
Where is RONNIE MILLER located?
Where can I find more details about RONNIE MILLER's Investment Firm?
Are there any disclosures, allegations or complaints filed against RONNIE EUGENE MILLER?
Where can I download a detailed FINRA report for RONNIE MILLER?
Is it safe to do business with RONNIE EUGENE MILLER?
All information displayed on this page is publicly available information under SEC guidelines, in compliance with 5 U.S.C. § 552 (Freedom of Information Act) and 5 U.S.C. § 552a (the Privacy Act) and is published unmodified, as provided by FINRA. BrokerAudit.com does not modify the data and makes no claims regarding its accuracy, nor will entertain any request to remove any entry. The inclusion of a person or entity in the BrokerAudit Database is not intended to suggest or imply that they have engaged in illegal or improper conduct related to FINRA. BrokerAudit.com intends to offer a platform where suspicious activities can be shared and discussed in a secure environment.
Originally reported on November 17, 2022 @ 8:29 pm