January 6, 2026

Selwyn Miller The Focus Of Lincoln Investment Investor Complaints About Misrepresentation

man sitting in front of monitors signing papers and smiling

Investors have reportedly disputed the sales practices of securities broker Selwyn Miller (also known as Selwyn Milller) [CRD: 1695348, Woodland Hills, California], according to public information on Financial Industry Regulatory Authority (FINRA) BrokerCheck. It appears that Miller worked for Lincoln Investment from June 1, 2012, to February 22, 2024. Continue reading for details about Miller’s disclosures.

Lincoln Investment Investor Accused Miller Of Misrepresentation

Notably, on July 22, 2025, a Royal Alliance Associates and Lincoln Investment client filed FINRA Arbitration No. 25-01375 about Selwyn Miller. Primarily, the client alleged that Miller made misrepresentations and omissions regarding life insurance policies sold to the client, and that Miller was negligent in servicing the policies. Because of this, the client allegedly sustained damages. As a result, the client requested compensation from Royal Alliance Associates, Lincoln Investment, or Miller. It appears that this arbitration is pending a resolution.

Selwyn Miller Disclosed Omissions Allegations By Royal Alliance Associates Client

Specifically, a client of Royal Alliance Associates disputed Selwyn Miller’s sales practices, based on a complaint dated June 21, 2024. Allegedly, Miller made omissions and misrepresentations, and allegedly misappropriated funds relating to life insurance products. It appears that Miller allegedly caused the investor to sustain damages. Therefore, the client sought compensation from Royal Alliance Associates or Miller in this matter. However, the firm denied this complaint.

1717 CMC Investor Accused Miller Of Misrepresentation

Also, on August 25, 2006, a 1717 CMC client filed a complaint about Selwyn Miller. Mainly, the client alleged that Miller made misrepresentations relating to a variable life insurance policy. For this reason, the client allegedly incurred damages associated with variable life insurance. Consequently, the client requested compensation from 1717 CMC or Miller. However, the firm denied this complaint.

Were You Impacted By Financial Advisor / Securities Broker Selwyn Miller?

Are you concerned regarding investments you made with Selwyn Miller? If so, reach out to Soreide Law Group at (888) 760-6552 or online and consult with a securities attorney regarding a possible recovery of your investment losses. Soreide Law Group has recovered losses for investors throughout the country. Also, the firm works on a contingency fee basis and advances all costs. Miller and brokerage firms Miller worked for deny accusations of sales practice violations.

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