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Barry Speyer: Complaints Against Beverly Hills Financial Advisor

Settled and pending investor complaints against Beverly Hills, California broker and investment advisor Barry Speyer (CRD#: 432002) allege conduct including suitability violations, unauthorized trading, and more. Speyer is a representative of Morgan Stanley, according to information drawn from Financial Industry Regulatory Authority records.

A pending August 2019 complaint alleges that as a representative of Morgan Stanley Smith Barney, Barry Speyer recommended unsuitable options investments between August 2007 and August 2013. The complaint alleges damages of $750,000.

A pending January 2019 complaint alleges that as a representative of Morgan Stanley Smith Barney, Barry Speyer recommended unsuitable investments in common and preferred stock products and options products. The complaint alleges unspecified damages.

A 2009 complaint alleged that as a representative of Morgan Stanley & Company, Barry Speyer recommended unsuitable investments in auction rate securities. The complaint reached a settlement of $250,000.

A 2003 complaint alleged that as a representative of Morgan Stanley DW, he engaged in unauthorized options trading. The complaint resolved with an award to the customer of $18,030.

A 1991 complaint alleged that as a representative of Dean Witter Reynolds, he engaged in unsuitable options trading in the customer’s account The complaint resolved with an award to the customer of $125,000 plus interest.

A 1989 complaint alleged that as a representative of Dean Witter Reynolds, he engaged in unsuitable trading, including trading on margin. The complaint reached a settlement of $95,000.

Barry Speyer has been registered as a broker and investment advisor with Morgan Stanley in Beverly Hills, California since 2009. His employment history includes Morgan Stanley & Company in Beverly Hills, California; Morgan Stanley DW in Beverly Hills, California; Dean Witter & Company; and Bell Securities Corporation. He currently holds 34 state licenses and has passed four securities industry qualification examinations.

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By submitting this form I acknowledge that form submissions via this website do not create an attorney-client relationship, and any information I send is not protected by attorney-client privilege.

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