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Broker Brian Stevenson, Wells Fargo Advisors, Faces Pending Complaint, Broker Alert

593207_dollars_2Broker Brian Stevenson, Wells Fargo Advisors, Faces Pending Complaint, Broker Alert

Brian Stevenson, Wells Fargo broker financial adviser has customer complaints. The investment recovery lawyers at StockBrokerLawyer.com are ready to help additional customers recover their investment losses or complaints regarding Mr. Stevenson (CRD# 1854798) and Wells Fargo Advisors or Morgan Stanley.

Brian Stevenson has spent almost thirty years giving financial advice, working for Wells Fargo Advisors in Dublin, Ohio since January 2016 and before that, Morgan Stanley in Dublin, Ohio (2009-2016). He is licensed in 18 US states including California, Florida, Georgia, Indiana, Iowa, Kansas, Michigan, Nevada, New Hampshire, New York, Ohio, Pennsylvania, Texas, West Virginia, and Wisconsin.

According to the FINRA BrokerCheck report, Brian Stevenson has one customer complaint and one pending customer complaint.

In February 2016, a customer alleged Brian Stevenson, while employed at Morgan Stanley, executed unauthorized purchases of two unit investment trusts and a structured product. These are complex products that are not suitable for many investors. The customer is seeking unspecified damages in the pending complaint.

If you or someone you know has lost money investing with Brian Stevenson, call (888) 986-7199 or write the investment recovery lawyers at StockBrokerLawyer.com for a free no-cost consultation. We can help recover your losses and seek other damages, too.

You can use the email form or chat on StockBrokerLawyer.com You may be entitled to recover your losses. We work on contingency: we are paid only when you are paid. Time is limited; delay is the favorite defense of the brokerage firms. Call 888-986-7199 now to speak to an attorney for a no cost evaluation.


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