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March 13, 2024
Timothy Campbell Terminated, Involved In MML Client Dispute

Investors potentially experienced investment losses through securities broker Timothy Brian Campbell (also known as Tim Campbell) [CRD: 3046265, Corinth, Mississippi], according to disclosures on the Financial Industry Regulatory Authority (FINRA) BrokerCheck. Evidently, Campbell worked for MML Investors Services LLC from September 4, 2015, to August 11, 2023. He currently works for Newbridge Securities Corporation and […]

September 4, 2018
Customer Contends MML Investors Omitted Annuity Fees

Customer Contends MML Investors Omitted Annuity Fees Andrew Charles Berleth (CRD #1476284, Walnut Creek, California) has been a registered representative of MML Investors Services LLC since November 17, 2003. He disclosed on Financial Industry Regulatory Authority (“FINRA”) BrokerCheck that his activities have given rise to a customer-initiated investment-related written complaint dated June 11, 2018. MML […]

April 10, 2013
FINRA Awards $1.1mill to Customers of MML Investors Who Invested in DLG

Lamoreaux v. MML Investors, FINRA ID # 10-04047 (Los Angeles, CA, 3/27/2013) - A Los Angeles Financial Industry Regulatory Authority ("FINRA") arbitration panel has entered an award against MML Investors Services, LLC ("MML") in favor of its customer, Ms. Lamoreaux. The Panel awarded $1,120,000 in compensatory damages to Ms. Lamoreaux, who invested in an unregistered […]

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