A recent investor complaint against Miami, Florida financial advisor Dan Bucevski (CRD# 5702545) alleges that his recommendation of an unapproved...
Read MoreDan Bucevski: Morgan Stanley Advisor Faces $580K Complaint
A recent investor complaint against Miami, Florida financial advisor Dan Bucevski (CRD# 5702545) alleges that his recommendation of an unapproved investment resulted in six-figure damages. Financial Industry Regulatory Authority records show that he is registered as a broker and an investment advisor with Morgan Stanley.
Mr. Bucevski’s BrokerCheck report discloses one investor complaint. Filed in September 2026, it alleges that as a representative of Morgan Stanley, he recommended “private motion picture financing investments” that were not approved by his member firm. The pending complaint alleges damages of $580,000.
Investors should be aware that FINRA Rule 3280 prohibits FINRA registered representatives from engaging in private securities transactions except under certain conditions. The rule defines such transactions as “any securities transaction outside the regular course or scope of an associated person’s employment with a member.” Also known as selling away, a broker’s participation in private securities transactions is permissible in some cases, such as transactions with immediate family members for which no FINRA associated person receives selling compensation, provided the representative provides written notice to their member firm. Private securities transactions are generally also subject to an individual firm’s policies and procedures. Representatives who improperly engage in private securities transactions may be subject to disciplinary actions by their member firms and/or securities regulators like FINRA.
According to the Financial Industry Regulatory Authority, Dan Bucevski holds 13 years of securities industry experience. Based in Miami, Florida, he has been registered as a broker and an investment advisor with Morgan Stanley since 2017. His past registrations include Merrill Lynch, Preston Wealth Advisors, and Southridge Investment Group. His credentials include the passage of four securities industry qualifying exams: the Securities Industry Essentials Examination, or SIE; the General Securities Representative Examination, or Series 7; the Uniform Investment Adviser Law Examination, or Series 65; and the Uniform Securities Agent State Law Examination, or Series 63. He holds 13 state licenses. (Information current as of October 4, 2026.)
Carlson Law represents investors throughout the United States in claims against financial advisors and investment firms. If you or a loved one have suffered investment losses, please call us at 888-976-6111 or complete our contact form for a free and confidential consultation.

