Mark Miller is the Subject of a Suitability Dispute
Mark Miller (CRD #: 1142801), a broker registered with LPL Financial, is the subject of an investor dispute. This is according to his BrokerCheck record, accessed on July 30, 2024. Keep reading if you have questions concerning his alleged conduct.
Investor Allegations
On May 2, 2024, an investor alleged that Mark Miller recommended an unsuitable investment.
This is the second investor dispute on his record.
What is a Suitable Investment?
FINRA defines suitable investments as securities that fit an investor’s profile. An investor’s profile includes information about their risk tolerance, financial goals, and age.
FINRA Rule 2111 identifies the three prongs of a suitability determination as 1) reasonable-basis suitability, 2) customer-specific suitability, and 3) quantitative suitability.
- Reasonable-basis Suitability: Brokers are required to use reasonable diligence before making a recommendation. This means they have an obligation to understand an investment strategy and its potential risks or rewards.
- Customer-specific Suitability: Before recommending a particular security or investment strategy involving a specific client, brokers are required to have reasonable grounds for believing it will be suitable based on that client’s personal profile. The profile includes information on the investor’s financial goals, investing experience, and risk tolerance.
- Quantitative Suitability: Brokers with control over a customer’s account must have a reasonable basis to believe that the series of transactions they recommend are not excessive before executing them. Excessive transactions run the risk of incurring too many fees and negating any returns.
Investors who rely on their brokers for recommendations may be able to recover their losses through FINRA arbitration.
Background Information
Mark Miller has passed the following exams:
- Series 65 Uniform Investment Adviser Law Examination
- Series 63 Uniform Securities Agent State Law Examination
- SIE – Securities Industry Essentials Examination
- Series 7 General Securities Representative Examination
- Series 6 Investment Company Products / Variable Contracts Representative Examination
- Series 24 General Securities Representative Examination
- Series 26 Investment Company Products / Variable Contracts Principal Examination
He is a registered broker in 20 states and D.C. He is a registered investment adviser in Alabama, Minnesota, and Texas.
During his 41 years of experience, Mark Miller has registered with two firms: LPL Financial (CRD #: 6413) and PFS Investments (CRD #: 10111).
Kurta Law Can Help
If you have worked with Mark Miller and have concerns about your investments, do not hesitate to contact us at 877-600-0098 or email info@kurtalawfirm.com for a free consultation.
For nearly 20 years, Kurta Law has advocated for investors to recover their investment losses from brokers and brokerage firms. Kurta Law is a nationally recognized law firm that exclusively represents investors against brokers and brokerage firms on a contingency basis. This means that the firm only earns a fee if our securities attorneys recover money on your behalf. Do not let securities fraud go unchecked. Start your recovery process today.