Did you suffer investment losses with Metlife Investors Distribution Company (CRD# 107622) (SEC# 8-53064)?
Galvin Legal, PLLC is launching an investigation on behalf of investors who may have suffered losses investing with Metlife Investors Distribution Company. If you suffered losses investing with Metlife Investors Distribution Company, then Galvin Legal, PLLC may be able to help you recover your losses in a Financial Industry Regulatory Authority (“FINRA“) arbitration claim.
If you suffered losses and would like a free consultation with a securities attorney, then please call Galvin Legal, PLLC at 1-800-405-5117.
As of June 6, 2020, Metlife Investors Distribution Company’s FINRA BrokerCheck Report contains the following:
1 Regulatory Event Disclosures
Main Office Location
200 PARK AVENUE 4TH FLOOR
NEW YORK CITY, NY 10166
USA
Mailing Address
200 PARK AVENUE 4TH FLOOR
NEW YORK CITY, NY 10166
USA
Business Telephone Number
908-253-1007
If you suffered losses and would like a free consultation with a securities attorney, then please call Galvin Legal, PLLC at 1-800-405-5117.
Metlife Investors Distribution Company’s Direct Owners and Executive Officers
METLIFE INVESTORS GROUP, LLC, SHAREHOLDER
BEDORE, ELISABETH (CRD#:5311786), VICE PRESIDENT, CHIEF COMPLIANCE OFFICER
CASSANDRA, FRANK (CRD#:3004291), DIRECTOR, SENIOR VICE PRESIDENT
CHANDLER, CHRISTY COLLINS (CRD#:4005264), VICE PRESIDENT
CHIGNOLI, BRADD M (CRD#:4664421), DIRECTOR, SENIOR VICE PRESIDENT
CONNERY, CHARLES (CRD#:3138451), VICE PRESIDENT AND TREASURER
JARVIS, MECHELLE KAY (CRD#:4650140), ASSISTANT VICE PRESIDENT
KELSON, DERRICK LAKEITH (CRD#:2715416), DIRECTOR, CHAIRMAN OF THE BOARD, PRESIDENT AND CHIEF EXECUTIVE OFFICER
LUMERMAN, DINA ROSLIND (CRD#:6776614), DIRECTOR, VICE PRESIDENT
SAUDO, JUSTIN SCOTT (CRD#:6756225), ASSISTANT VICE PRESIDENT AND CHIEF INFORMATION SECURITY OFFICER
SCHUSTER, THOMAS JAMES (CRD#:4570334), DIRECTOR, SENIOR VICE PRESIDENT
TURETSKY, STUART E (CRD#:5582898), ASSISTANT VICE PRESIDENT, CHIEF FINANCIAL OFFICER/FINOP
WAGNER, ROBIN MELISSA (CRD#:1293830), LEGAL OFFICER
If you suffered losses and would like a free consultation with a securities attorney, then please call Galvin Legal, PLLC at 1-800-405-5117.
Due Diligence Requirement
FINRA requires broker-dealers to conduct due diligence on investments and to conduct a suitability analysis when recommending securities to a customer that takes into account the customer’s knowledge and experience. FINRA Rule 2111(a) states that “a member or an associated person must have a reasonable basis to believe that a recommended transaction or investment strategy involving a security or securities is suitable for the customer, based on the information obtained through the reasonable diligence of the member or associated person to ascertain the customer’s investment profile. A customer’s investment profile includes, but is not limited to, the customer’s age, other investments, financial situation and needs, tax status, investment objectives, investment experience, investment time horizon, liquidity needs, risk tolerance, and any other information the customer may disclose to the member or associated person in connection with such recommendation.”
Rule 2111 is composed of three main obligations: reasonable-basis suitability, customer-specific suitability, and quantitative suitability. Broker-Dealers that fail to conduct adequate due diligence on investments they recommend or that make unsuitable recommendations can be held responsible for the customer’s losses in a FINRA arbitration claim.
If you suffered losses and would like a free consultation with a securities attorney, then please call Galvin Legal, PLLC at 1-800-405-5117.
Request a Free Consultation with a Securities Attorney
If you suffered losses investing with Metlife Investors Distribution Company and would like a free consultation with a securities attorney, then please call Galvin Legal, PLLC at 1-800-405-5117.
This information is all publicly available and is being provided to you by Galvin Legal, PLLC.
Galvin Legal, PLLC is a national securities arbitration, securities mediation, securities litigation, securities fraud, securities regulation and compliance, and investor protection law practice. For more information on Galvin Legal, PLLC and its representation of investors, please visit www.galvinlegal.com or call 1-800-405-5117.
Formerly Known As, Aliases, and Affiliates
AMERICAN DISTRIBUTORS, INC., GENERAL AMERICAN DISTRIBUTORS, INC., AMERICAN DISTRIBUTORS, INC., GENERAL AMERICAN DISTRIBUTORS, INC.