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Morgan Stanley & Co. (“Morgan Stanley”) (CRD# 8209) has many different complaints filed by FINRA (Financial Industry Regulatory Authority), state regulatory organizations, and investors such as yourself. At the Law Offices of Robert Wayne Pearce, we have investigated Morgan Stanley, its regulatory and customer complaints, and have also represented investors with claims of fraud, negligence, and breach of fiduciary duty against this organization and its financial advisors.

If you believe you have a claim against Morgan Stanley, you should strongly consider hiring an investment fraud lawyer . You should not wait until it’s too late to file a claim. The Law Offices of Robert Wayne Pearce, P.A. , offers free consultations. Give us a call at 800-732-2889 . Let’s discuss your case and see what we can do to help you get the compensation you need and deserve.

Can I Sue Morgan Stanley?

If you’ve lost money caused by Morgan Stanley and/or its employees’ misconduct then the answer is, YES, you can sue Morgan Stanley but the odds are you signed away your right to sue in court and agreed to resolve your dispute in a FINRA arbitration proceeding. Attorney Robert Wayne Pearce has over 40 years of personal experience in FINRA arbitration proceedings and knows very well how you can not only sue Morgan Stanley in FINRA arbitration proceedings, but WIN that arbitration. The easiest way to know if you have a viable case against Morgan Stanley is to call Attorney Pearce at our office at 800-732-2889 .

Investment Losses? We Can Help

Discuss your legal options with an attorney at The Law Offices of Robert Wayne Pearce, P.A.

Get A Free Consultation

or, give us a ring at (800) 732-2889.

Robert Pearce

What is Morgan Stanley?

Morgan Stanley (CRD# 8209) is a registered broker-dealer. It operates as a full-service independent broker-dealer, providing a range of financial products and services to individual investors and financial advisors.

As a registered broker-dealer, Morgan Stanley is subject to regulations and oversight by the Securities and Exchange Commission (SEC) and the Financial Industry Regulatory Authority (FINRA). It is required to comply with industry standards and regulations to ensure the protection of its clients’ interests.

A failure to comply with industry standards by either its brokers or the firm itself can result in disciplinary actions, fines, or other penalties imposed by regulatory authorities.

Morgan Stanley Has Many Different Regulatory Problems 

Morgan Stanley’ rapid growth has not been without consequences. There have been approximately 463 state and self-regulatory body disclosure events; that is, final and formal proceedings initiated by a regulatory authority (e.g., a state or federal securities agency like the U.S. Securities and Exchange Commission (SEC) or self-regulatory body like the Financial Industry Regulatory Authority (FINRA) for a violation(s) of investment-related rules or regulations. In addition, there have been hundreds of customer complaints filed against Morgan Stanley for misconduct by its securities sales and investment advisory representatives that are not reported by the firm on its Central Depository Record. 

We have reported and written about these regulatory problems and customer complaints over many years. Morgan Stanley is a repeat offender: there are over 463 FINRA-reported disciplinary proceedings citing the firm with one form of supervisory lapses or another.

A Brief Overview of Some of the Regulatory Problems Morgan Stanley Has Faced Over the Years*

Morgan Stanley has been repeatedly censured, warned, and fined multi-millions of dollars for its own misconduct and failure to supervise its army of financial advisors.* A few of the notable FINRA Sanctions for its Supervisory Failures are below:

FINRA Sanctions Morgan Stanley $13 Million in Fines and Restitution for Failing to Supervise Sales of UITs

Brief overview: Morgan Stanley Smith Barney LLC was fined $3.25 million by FINRA for its failure to supervise representatives’ short-term trades of unit investment trusts (UITs). Additionally, the firm was required to pay approximately $9.78 million in restitution to over 3,000 affected customers.

FINRA Fines Morgan Stanley $10 Million for AML Program and Supervisory Failures

Brief overview: Morgan Stanley Smith Barney LLC faced a $10 million fine from FINRA for AML program and supervisory failures spanning over five years.

Finra fines Morgan Stanley $325,000 over research errors

Brief overview: Morgan Stanley was censured and fined $325,000 by FINRA for publishing research reports that contained inaccurate historical stock ratings. The firm revised its software to comply with new European Union regulatory requirements, but the revisions led to errors in the research disclosures.

Morgan Stanley Advisor’s ‘Guaranteed’ Investment

Brief overview: Former financial advisor Elias Hafen allegedly defrauded 11 clients by soliciting investments in a fictitious “high-yield investment fund with guaranteed returns.” Instead of investing the clients’ money, Hafen purportedly used the funds for personal expenses, including luxury items and artwork. In 2020, Hafen was sentenced to 30 months in prison and ordered to pay $745,000 in restitution. Morgan Stanley settled with the victims, paying a $430,000 settlement in 2019.

Complaint: Morgan Stanley Broker Stole Millions in 12-Year Scheme

Brief overview: Former financial advisor Michael Barry Cotter allegedly stole over $6 million from customers over a period of 12 years. Cotter allegedly executed unauthorized transactions, forged customer signatures, and fabricated account statements to cover his tracks. He purportedly used the misappropriated funds for personal expenses, including mortgage payments and country club fees. In July 2020, Cotter pleaded guilty and was sentenced to five years in federal prison. He was also ordered to pay a judgment of at least $4.3 million. Morgan Stanley was charged by the SEC for failing to detect or prevent Cotter’s misconduct and was ordered to pay a penalty of $3.6 million.

Morgan Stanley Rep Spent Customer Funds on Private Jet, Country Club

Brief overview: Former advisor Barry Connell allegedly defrauded his clients of at least $5 million by making unauthorized transfers from their accounts. Connell allegedly used the funds for personal expenses, including a year’s rent for a house, country club membership fees, private jet expenses, and credit card bills. He was terminated from Morgan Stanley, pleaded guilty to various charges, and was sentenced to approximately 36 months. Morgan Stanley was charged by the SEC for failing to detect or prevent Connell’s misappropriation of customer funds and was ordered to pay a penalty of $3.6 million.


*Above are only some of the regulatory disciplinary actions filed against Morgan Stanley by FINRA. NASSA and other state securities regulator investigations and enforcement actions account for another 463 BrokerCheck disclosures.

Morgan Stanley Customer Complaints

There have been scores of customer complaints filed against Morgan Stanley stockbrokers and investment advisors over the years. We have launched many investigations of current and former Morgan Stanley advisors:

  1. Barry Speyer of Morgan Stanley
  2. Inigo Domenech of Jefferies LLC
  3. Martin Gruner of Morgan Stanley
  4. Brandon Potter of J.P. Morgan Securities, LLC
  5. Frederick Schiller of Morgan Stanley
  6. Evan Schottenstein of J.P. Morgan Securities
  7. Herbert Hafen of Wells Fargo
  8. Nancy Glassman of Morgan Stanley
  9. Richard Bernstein of Wells Fargo Clearing Services, LLC
  10. David Neumann of Cambridge Investment Research, Inc
  11. Charles Natt of Morgan Stanley
  12. Carlton Higbie of Morgan Stanley
  13. Blair Horne of Morgan Stanley
  14. Barry Pechenik of Morgan Stanley
  15. Patricia Gleason of Cetera Advisors
  16. Harold Weber of Aegis Capital
  17. Francis Aurino of Morgan Stanley
  18. Elaine Lacerte of Morgan Stanley
  19. Eric Nichols of TCFG Wealth Management, LLC
  20. Michael Dowell of Morgan Stanley
  21. Jimmy Driggers of Morgan Stanley
  22. Michael Greenstone of Merrill Lynch Pierce Fenner & Smith
  23. David Fenning of Morgan Stanley
  24. Thomas Forbes of Morgan Stanley
  25. Mark Carroll of Morgan Stanley
  26. John Busco of Laidlaw & Company Ltd.
  27. Perry Basch of Morgan Stanley
  28. Robert Brinckerhoff of Morgan Stanley
  29. Jeremy Newton of Merrill Lynch, Pierce, Fenner & Smith Incorporated
  30. Anthony Dacruz of Morgan Stanley
  31. Frank Hemmen of Morgan Stanley
  32. Rick Davidson of Aegis Capital
  33. Alberto Castaner Of Oppenheimer & Co. Inc.
  34. Amir Navab formerly with RBC Capital Markets, LLC
  35. Andrew Katsanis of Morgan Stanley
  36. Benjamin Duckett of Morgan Stanley
  37. Brenda Perrotti of Morgan Stanley
  38. Brian Manning of Morgan Stanley
  39. Jonathan Rothman of Morgan Stanley
  40. Edward Rulison of Morgan Stanley
  41. Jonathan Rynsky of Morgan Stanley
  42. Nicholas Sberlati of Morgan Stanley & Co.
  43. Preston Schoenfeld of Morgan Stanley
  44. Ilan Segev of Morgan Stanley
  45. Suzanne Sheuerman formerly with Morgan Stanley
  46. David Smith of Merrill Lynch Pierce Fenner & Smith
  47. Walter Sweatt Formerly With Morgan Stanley
  48. Thomas Tonkovich of Morgan Stanley
  49. Nicolas Ulvert of Morgan Stanley
  50. Keith Wagner Formerly With J.P. Morgan Securities
  51. Vanessa Xavier of Equitable Advisors
  52. Richard Gregory George of Morgan Stanley
  53. Gerardo Latimer-Janer of Morgan Stanley
  54. Robert David Jr. of Morgan Stanley
  55. Michael Paesano of Morgan Stanley
  56. John Bankhead of Morgan Stanley
  57. Kirk Gill of Taylor Capital Management, Inc
  58. Jeffrey Goodstein of Morgan Stanley
  59. Timothy Fast Formerly With The Huntington Investment
  60. Alan Fishman of Wells Fargo Clearing Services
  61. Eric Fuller of Morgan Stanley
  62. Jeffrey Johnson formerly with Morgan Stanley
  63. Christopher Garner of First Republic Securities
  64. Michael Galanti of Morgan Stanley
  65. Matthew Gonzales formerly with Morgan Stanley
  66. Francine Griggs of Morgan Stanley
  67. Ricardo Guimaraes of Morgan Stanley
  68. Jianmin Gu of Morgan Stanley
  69. Neil Gavande Formerly With Morgan Stanley
  70. Michael Horne of Morgan Stanley
  71. Lawrence Just of Ameriprise Financial Services
  72. Carson Kessler of Morgan Stanley
  73. Sachin Kumar of Laidlaw & Company (UK)
  74. Steven Urosevich of Wells Fargo Clearing Services
  75. Christopher Vining of Morgan Stanley
  76. Victor Martinez of Morgan Stanley
  77. Mark McBee of Morgan Stanley
  78. Kelly McMurray of Morgan Stanley
  79. Michael Oliveri of Santander Securities
  80. Sumitro Pal formerly with Morgan Stanley
  81. Jose Parker of Morgan Stanley
  82. Maxwell Parziale of Morgan Stanley
  83. Megan Rehill of Merrill Lynch Pierce Fenner & Smith
  84. Michael Rulison of Morgan Stanley
  85. Michael Scotto Of Morgan Stanley
  86. Roxann Seaton Of Morgan Stanley
  87. James Small Of Morgan Stanley
  88. Randall Thompkins Formerly With Morgan Stanley
  89. Benton Seltzer of Morgan Stanley
  90. J Powers Shepard of Morgan Stanley
  91. Rupert Sizemore Formerly With Morgan Stanley
  92. John Taddonio formerly with Morgan Stanley
  93. Eric Abbott of Morgan Stanley
  94. Marc Alport of Wells Fargo Clearing Services
  95. Jefferey Biederman of Morgan Stanley
  96. Yan Binder of Morgan Stanley
  97. Alan Bogatch of Morgan Stanley
  98. Cherie Bond of Morgan Stanley
  99. Joshua Breeden of UBS Financial Services
  100. Kenneth Hutkin of Wedbush Securities
  101. Edward Johnson of Morgan Stanley
  102. Stephanie Brown of Morgan Stanley
  103. Tamara Brown of Morgan Stanley
  104. Peter Carr of Morgan Stanley
  105. Henry Chang of Morgan Stanley
  106. Steven Champagne of LPL Financial
  107. Daniel Kratish of Morgan Stanley
  108. Jonathan Lake of Wells Fargo Clearing Services
  109. Howard Lee of Morgan Stanley
  110. Benedicto Crisologo of Morgan Stanley
  111. Larry Porter of Morgan Stanley
  112. Gregg Cummings of Morgan Stanley
  113. Corey Engelhard of Morgan Stanley
  114. Ali Garba of Morgan Stanley
  115. Jeffrey Kemp of Janney Montgomery Scott
  116. Elise Davis of Morgan Stanley
  117. Mansoor Kisat of M.S. Howells
  118. Robert Hart of Morgan Stanley
  119. Celeste Dinerman of Morgan Stanley
  120. Kevin Doyle of Raymond James & Associates
  121. John Hoekman formerly with Wells Fargo Clearing Services
  122. T. Jackson of Morgan Stanley
  123. Javier Jaramillo of Morgan Stanley
  124. Thomas Kreuzer of Morgan Stanley
  125. Matthew Lane of RBC Capital Markets
  126. William Knudsen of LPL Financial
  127. Borislav Kolev of Morgan Stanley
  128. Antoinette Lucas of TIAA-CREF Individual & Institutional Services
  129. Sue Van Der Linden of Morgan Stanley
  130. Brian Lindsay of Morgan Stanley
  131. Robert Mitchell of Stifel, Nicolaus & Company
  132. Hemant Naran Formerly With Morgan Stanley
  133. Michael New of BMO Harris Financial Advisors
  134. Manuel Ojeda of Morgan Stanley
  135. Robert Mazur of CUNA Brokerage Services
  136. Thomas McDavid of Rockefeller Financial
  137. Matthew McGuirk of Oppenheimer & Co.
  138. Nadine Miller of Morgan Stanley
  139. Gregory Pease Formerly With International Assets Advisory
  140. Richard Perkins Formerly With Morgan Stanley
  141. Michael Robertson of Morgan Stanley
  142. Nicholas Rogers of Morgan Stanley
  143. Bradley Rubin of UBS Financial Services
  144. Robert Scarborough of Morgan Stanley
  145. Daniel Smith of Morgan Stanley
  146. Herbert Smith of Morgan Stanley
  147. James Sophia of Morgan Stanley
  148. Jerri Pratt of Morgan Stanley
  149. Donald Porterfield of Merrill Lynch Pierce Fenner & Smith
  150. Theodore Pohl of Morgan Stanley
  151. Michael Piccolo of Wells Fargo Clearing Services
  152. Jim Stephenson of Morgan Stanley
  153. Larry Shaw of Morgan Stanley
  154. Jacob Shapira of Morgan Stanley
  155. Samuel Sloane formerly with Morgan Stanley
  156. Howard Smith of Morgan Stanley
  157. Daniel Richardson of Morgan Stanley
  158. George Strnad of Morgan Stanley
  159. Andrew Sukhin of Morgan Stanley
  160. James Syvertson Formerly With Morgan Stanley
  161. Scott Swaylik of Morgan Stanley
  162. Steven Syslo of UBS Financial Services
  163. Jason Wolter of Morgan Stanley
  164. Jeffrey Wiseman Formerly With Morgan Stanley
  165. Steven Wurzer of Morgan Stanley
  166. James Zaura of J.P. Morgan Securities
  167. Scott Blando of Edward Jones
  168. Matthew Biggie of Wells Fargo Clearing Services
  169. Keith Bryan formerly with Robert W. Baird Co.
  170. Daniel Pye of Morgan Stanley
  171. Burton Halpert of Morgan Stanley
  172. Noel Williams of Morgan Stanley
  173. Carol Brookman formerly with Morgan Stanley
  174. Chris Hudson of Morgan Stanley
  175. Joshua Breeden of UBS Financial Services
  176. Candido Viyella formerly with Morgan Stanley
  177. Brady Clar of Charles Schwab & Co., Inc.
  178. Antoine Souma of Insigneo Securities, LLC
  179. Allan Klenke of Morgan Stanley
  180. Andrew Cutler of Morgan Stanley
  181. Carolina Medina of Morgan Stanley
  182. Charles Correal of Harvest Financial Corporation
  183. Christopher Butler of Morgan Stanley
  184. Christopher Olson of RBC Capital Markets, LLC
  185. Christopher Arnella of Morgan Stanley
  186. Christopher Novielli of Morgan Stanley
  187. Craig Cunningham of Morgan Stanley
  188. Damian Bell of International Assets Advisory, LLC
  189. David Hixon formerly with Morgan Stanley
  190. David Roth of Morgan Stanley
  191. David Kraft formerly with Morgan Stanley
  192. Diego Macedo of Morgan Stanley
  193. Eric Yamin of Morgan Stanley and formerly with UBS Financial Services, Inc.
  194. Evan Savarick of Morgan Stanley
  195. Francisco Valenzuela formerly with Morgan Stanley
  196. Gary Cecchett of Morgan Stanley
  197. Gordon Stevenson of Morgan Stanley
  198. Graham Okelly of RBC Capital Markets LLC
  199. Gregory Williams formerly with Forta Financial Group, Inc.
  200. Henrique Lucena of Laidlaw & Company (UK) Ltd.
  201. Horacio Gomez-Rabago of Oppenheimer & Co. Inc.
  202. James Lacey, Jr of Morgan Stanley
  203. James Stines of Morgan Stanley
  204. Jason Zoch of Morgan Stanley
  205. Jason Parker of Morgan Stanley
  206. Javier Naselli of UBS Financial Services Inc.
  207. Jeff Kramer of Morgan Stanley
  208. Jeffrey Cadan formerly with Morgan Stanley
  209. Jeffrey Haag formerly with Morgan Stanley
  210. John Daughtridge formerly with Raymond James & Associates, Inc.
  211. John Berg of Morgan Stanley
  212. John Gascoyne of Morgan Stanley
  213. John Tierney of Morgan Stanley
  214. Jon Erickson of Morgan Stanley
  215. Jonathan Dickson of Morgan Stanley
  216. Jose Martinez of Morgan Stanley
  217. Kathleen Entwistle of Morgan Stanley
  218. Kevin Butler of Morgan Stanley
  219. Kevin Pasha of J.P. Morgan Securities LLC
  220. Kyle Backus of Morgan Stanley
  221. Kwan-Rok Kong of Ameriprise Financial Services, LLC
  222. Leif Olson of Wells Fargo Clearing Services, LLC
  223. Leonard Fox, Jr. formerly with FSC Securities Corporation
  224. Lori Caumeil of Morgan Stanley
  225. Mara Schainuck of Morgan Stanley
  226. Maria Solanet of Insigneo Securities LLC
  227. Mark Frommer of Oppenheimer & Co. Inc.
  228. Mark Sullivan of Raymond James & Associates, Inc.
  229. Mark Hebert formerly with Deutsche Bank Securities Inc.
  230. Mark Potocsny of International Assets Advisory, LLC
  231. Mark Hein formerly with Morgan Stanley
  232. Martin Shandling of Morgan Stanley
  233. Matias Cavalieri of Morgan Stanley
  234. Matthew Genco of Morgan Stanley
  235. Matthew Remis formerly with Morgan Stanley
  236. Meghan Elliott formerly with PFS Investments Inc.
  237. Michael Pellegrino, Jr. formerly with Westpark Capital, Inc.
  238. Michael Nichley of UBS Financial Services Inc
  239. Michael Carter formerly with Morgan Stanley
  240. Michael Edwards of Morgan Stanley
  241. Michael Cecil of Morgan Stanley
  242. Michael Douvadjian of Morgan Stanley
  243. Michael Hood of Morgan Stanley
  244. Michael Wagner of Morgan Stanley
  245. Michael Goodworth of Merrill Lynch, Pierce, Fenner & Smith Incorporated
  246. Nordo Nissi formerly with M.S. Howells & Co.
  247. Patricia Fontan-Sorlie of Morgan Stanley
  248. Paul Snider of Morgan Stanley
  249. Peter Heidt of Ameriprise Financial Services, LLC
  250. Petros Ingilizian formerly with Morgan Stanley
  251. Ralph Jackson, III of Morgan Stanley
  252. Robert Spina of UBS Financial Services Inc.
  253. Ronald Littlehale, Jr. formerly with Morgan Stanley
  254. Roxann Romano of Morgan Stanley
  255. Ruben Morfin of Morgan Stanley
  256. Ryan Taleghani of Morgan Stanley
  257. Ryan Wroblewski of Morgan Stanley
  258. Ryan Mummert of Morgan Stanley
  259. Sandra Weiss of J.P. Morgan Securities LLC
  260. Sandy Jukel of Ameriprise Financial Services, LLC
  261. Sarah Montoya of Morgan Stanley
  262. Schuyler Grey, III of Morgan Stanley
  263. Seth Mason formerly with Morgan Stanley
  264. Shu Mei Yu of Morgan Stanley
  265. Stephen Lawless of Morgan Stanley
  266. Stephen Mills of Morgan Stanley
  267. Steven Lovell of Morgan Stanley
  268. Steven Thorpe of Morgan Stanley
  269. Thomas Parr of Morgan Stanley
  270. Thomas O’Rourke, Jr. of Morgan Stanley
  271. Thomas Morgan, Jr. formerly with Morgan Stanley
  272. William Ard formerly with Morgan Stanley
  273. Woodford Mooers, Jr. of Rosenblatt Securities Inc.
  274. Zachary Roberts of J.P. Morgan Securities LLC
  275. Zhong Zhao of Morgan Stanley
  276. Deborah Albright of Morgan Stanley
  277. Gregory Cousins of Morgan Stanley
  278. Ryan Culpepper of Wells Fargo Clearing Services, LLC
  279. Elinar Deghbashyan of NYLife Securities LLC
  280. David Donovan of Morgan Stanley
  281. Bruce Galloway of Morgan Stanley
  282. Rosita Kaufman of Morgan Stanley
  283. Adam Lang of Morgan Stanley
  284. Alfred Bozzo III of Morgan Stanley
  285. Arthur Caruso of Morgan Stanley
  286. Bobby Aycock of Morgan Stanley
  287. Brian Currie of Morgan Stanley
  288. Gianluca de Berardinis of Morgan Stanley
  289. Kerry Hoffman of B. Riley Wealth Management
  290. Donna MacKay of Morgan Stanley
  291. RJ Malcampo of Morgan Stanley
  292. Paul Mandel of Morgan Stanley
  293. Ethan Reid of Morgan Stanley
  294. Robert Rumley, III of William Blair
  295. George Salidas of Morgan Stanley
  296. Sally Ann Weger of Morgan Stanley
  297. Timothy Brennan of Morgan Stanley
  298. Talal Bazzi of Morgan Stanley
  299. Melinda Beier of Morgan Stanley
  300. Sean Brennan of Morgan Stanley
  301. Darryl Cohen formerly with Morgan Stanley
  302. Teri Kelley of Morgan Stanley
  303. Raymond Harrison of Morgan Stanley
  304. Chris Moyseos of Morgan Stanley
  305. Ariel Santana of Morgan Stanley
  306. Damon Stewart of Morgan Stanley
  307. John Strickler of Cetera Investment Services LLC
  308. Michael Weiss, Sr. of Morgan Stanley
  309. Lisa Capobianco of Morgan Stanley
  310. Michael Coughlin formerly with Morgan Stanley
  311. John Cutrupi of Raymond James Financial Services, Inc.
  312. Darcy Dahl Morgan Stanley
  313.  Marcus Kline of Morgan Stanley
  314. Michael Beers of Morgan Stanley
  315. Tracy Bird of Morgan Stanley
  316. Nicholas Carter of Morgan Stanley
  317. Nicholas Conturso of Morgan Stanley
  318. Brian Purcell of Morgan Stanley
  319. S P Powers, II of Morgan Stanley
  320. James Monken of Morgan Stanley
  321. Carlo Licata of Morgan Stanley
  322. Christiana Webb of Morgan Stanley
  323. Edward Siegler of Morgan Stanley
  324. Shawn Good of Morgan Stanley
  325. Lionel Goldberg of Morgan Stanley
  326. Gregory Sain of Morgan Stanley
  327. Juan Elwaw of Morgan Stanley
  328. Max Elson, Jr. of Morgan Stanley
  329. Ronald Balzano of Morgan Stanley
  330. Marcie Daleo of Morgan Stanley
  331.  Kyle Wool of Dominari Securities LLC
  332. Brian Lawrence of Morgan Stanley
  333. Gregory Libby of Morgan Stanley
  334. Jose Marrujo of Morgan Stanley
  335. Todd McBride of Morgan Stanley
  336. Michael Dietrich of Morgan Stanley
  337. Shaun Ferguson of Morgan Stanley
  338. Norman Killop, III of Morgan Stanley
  339. Jerome Niles of Dominari Securities LLC
  340. Glenn Ota of Morgan Stanley
  341. Mark Poulin of Morgan Stanley
  342. Nikko Richardson of Fidelity Brokerage Services LLC
  343. Christiana Webb of Morgan Stanley
  344. Tricia Zelinka of Morgan Stanley
  345. Donald Zabudsky of Morgan Stanley
  346. Genai Walker of Morgan Stanley
  347. John Tofilon of Morgan Stanley
  348. Catherine Calandra of Morgan Stanley
  349. Marci Coots of Morgan Stanley
  350.  Edmund Iannelli of Ameriprise Financial Services, LLC
  351. Charles Lombardi, Jr. of Morgan Stanley
  352. Hugo Mantilla of Morgan Stanley
  353. Michael Spector of Morgan Stanley
  354. Vipul Shah of Morgan Stanley
  355. Pete Stamatis of Osaic Wealth, Inc
  356. Paul Stepankovskiy of UBS Financial Services Inc
  357. Philip Stair of Morgan Stanley
  358. Sean Righter of Morgan Stanley
  359. Jesus Rodriguez formerly with Morgan Stanley
  360. Alyce Weixler of Morgan Stanley
  361. Neil Lerner of Morgan Stanley
  362. Timothy Lilleboe of Morgan Stanley
  363. Drew Reinhardt of Morgan Stanley
  364. Ron Filoramo formerly with Morgan Stanley
  365. Michael Hack of Morgan Stanley
  366. Nicholas Hasselkus of Morgan Stanley Reviews
  367. Jeffrey Russell formerly with Morgan Stanley
  368. Joshua Henry of Morgan Stanley Reviews
  369. Maxwell Bull of Morgan Stanley Reviews
  370. Roberta Bell of Morgan Stanley Reviews
  371. Daniel Fusco of Morgan Stanley Reviews
  372. Fletcher King of Morgan Stanley Reviews
  373. Allen Short of Morgan Stanley Reviews
  374. Michael Reilly of Morgan Stanley Reviews
  375. Jeffrey Smulevitz Of Morgan Stanley Reviews
  376. John Sorensen Of Morgan Stanley Reviews
  377. Scott Whitmore Of Morgan Stanley Reviews
  378. Sibyl Woo Of Morgan Stanley Reviews
  379. Gary Brahler of Morgan Stanley Reviews
  380. Kenneth Maring Formerly With Morgan Stanley Reviews
  381. Kwame Adusei Formerly With Morgan Stanley Reviews
  382. Michael Freiman of Morgan Stanley Reviews
  383. Trevor Fried of Morgan Stanley Reviews
  384. Carmine DeMaio of Morgan Stanley FIRED
  385. Nikolai Taylor of Morgan Stanley Reviews
  386. Carmine DeMaio of Morgan Stanley FIRED
  387. Roger Gallagher of Morgan Stanley FIRED
  388. William Shopoff of Shopoff Securities, Inc. Reviews
  389. Traci Marchi of Morgan Stanley Reviews
  390. James Moriarity of Morgan Stanley Reviews
  391. Robert Melberth Formerly With Emerson Equity LLC Reviews
  392. Paul Pavelski of Morgan Stanley Reviews
  393. Borami Yoon of Morgan Stanley Reviews
  394. Maury Lomax of Morgan Stanley Reviews
  395. Christian De Berardinis Formerly With Morgan Stanley Reviews
  396. Anthony Divalerio Jr of Morgan Stanley Reviews
  397. Jason Head Formerly With Morgan Stanley Reviews

If you have lost money investing with any of these Morgan Stanley advisors or others within this brokerage firm, it’s important that you reach out to an investment loss attorney quickly because the statutes of limitations can bar your claims. Call us at 800-732-2889.

Why Does Morgan Stanley Have So Many Regulatory Problems And Customer Complaints?

Independent broker-dealers are notorious for their lax supervisory practices and procedures. The business model of these franchise type operations is to open many offices nationwide for steady growth of fixed monthly revenues without the costs attendant to a full-service branch office with on-site manager, compliance officer and operation personnel. The registered representatives of these independent broker-dealers generally operate as separately incorporated businesses. They are not employees of the broker-dealer and therefore not controlled in the same manner as full-service brokerage firm representatives. The registered representatives control their structure and costs to maximize profits and often leave the protection of investors’ rights and interests as their lowest priority.

The typical supervisory organization of independent broker-dealer operations is to have other independent contractors operate Offices of Supervisory Jurisdiction (OSJs) to monitor the registered representatives from geographically remote offices and then report to the main franchisor’s compliance office at national headquarters. The supervisors at the OSJs are not employees of the franchisor and often run their own brokerage, insurance and other businesses. They are not devoted full-time supervisors of the smaller branch offices. Consequently, OSJ managers cannot and do not supervise the day-to-day operations of the registered representatives of these Independent broker-dealers. 

Generally, there is no immediate review of new accounts opened, securities transactions, business records, cash or securities receipts and deliveries, correspondence and business activities unrelated to the securities brokerage operation at these independent brokerage firms. The lax supervision leaves investors who have transferred their accounts to the smaller independent broker-dealer vulnerable to sales of securities that have not been reviewed or authorized by anyone other than the sales representative earning a commission. There may be no one onsite to detect forgeries of clients’ signatures on documents, the placement of inaccurate information about a client’s investment objectives and financial condition to document the suitability of a particular investment recommendation. Oftentimes there is no daily review of sales literature and client correspondence to protect against misrepresentations and misleading statements being made to investors. In fact, it is not unusual for there to be only one compliance audit visit per year at many of these offices.

These Independent brokerage business operations are worrisome to the North American Securities Administrators Association (NASAA), which has documented more instances of sales abuse and consequently investor losses at these firms than the traditional brokerage firms with branch offices with on-site managers and compliance personnel.

Did Morgan Stanley Advisor Misconduct Cause You Investment Losses?

When financial advisor misconduct has caused you to lose substantial value to your investment accounts, you have the right to seek reimbursement from the responsible parties. Morgan Stanley is responsible like any employer for its financial advisors acts and omissions. In addition, it has an independent duty to supervise its stockbrokers and investment advisors. These cases can be extremely complex, and so having the support of a reputable attorney who is experienced in recovering investment losses for investors is key to your success. Many customers make the mistake of contacting Morgan Stanley without representation with an attorney about their complaints and have their complaints denied.

Related Read: Can You Sue Your Brokerage Firm?

Investment Losses? We Can Help

Discuss your legal options with an attorney at The Law Offices of Robert Wayne Pearce, P.A.

Get A Free Consultation

or, give us a ring at (800) 732-2889.

Robert Pearce

Consult With An Attorney Who Recovers Investment Losses Caused By Morgan Stanley Today!

The investment loss attorneys at The Law Offices of Robert Wayne Pearce, P.A., have helped countless investors over the last 40 years recover the losses from their investment accounts that were caused by broker negligence or misconduct. The firm has extensive experience with Morgan Stanley cases, and Attorney Pearce is committed to seeing that those responsible for the losses you have suffered are held fully accountable.

Give us a call at 800-732-2889 . Let’s discuss your case and see what we can do to help you get the compensation you need and deserve.

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Robert Wayne Pearce

Robert Wayne Pearce of The Law Offices of Robert Wayne Pearce, P.A. has been a trial attorney for more than 40 years and has helped recover over $170 million dollars for his clients. During that time, he developed a well-respected and highly accomplished legal career representing investors and brokers in disputes with one another and the government and industry regulators. To speak with Attorney Pearce, call (800) 732-2889 or Contact Us online for a FREE INITIAL CONSULTATION with Attorney Pearce about your case.

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