According to multiple complaints filed with the Financial Industry Regulatory Authority (FINRA), Todd Douglas Ryman has been subject to several disclosures on his record, including allegations of unauthorized trading, unsuitable trading, misrepresentation of material facts, and other transgressions. He was also accused of selling an unsuitable Private Equity fund. These are all against securities laws and regulations. His former firm, Raymond James, and his current firm, SunTrust Investment Services, can be sued in the FINRA arbitration forum on a contingency fee basis for losses. The call to our securities law offices is free with no obligation so please call today for a consultation with one of our attorneys.
He was previously registered with Josephthal & Co. in New York, New York from February 1996 until July 1998, UBS in Weehawken, New Jersey from July 1998 until October 2002, Banc of America Investment Services in Atlanta, Georgia from October 2002 until October 2009, Merrill Lynch in Atlanta from October 2009 until May 2011, Deutsche Bank in Atlanta from May 2011 until September 2016 and Raymond James in Atlanta from September 2016 until February 2017. He is currently registered with SunTrust Investment Services in Atlanta and has been since February 2017. He has six customer disputes against him, two of which are currently pending.
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