Ryan Thomas Murphy, of Savannah, Georgia, a stockbroker previously registered with Truist Investment Services Inc., has been barred from associating with any Financial Industry Regulatory Authority (FINRA) member in any capacity because Murphy refused to testify or provide documents during a FINRA investigation. Letter of Acceptance, Waiver, and Consent No. 2024082044301 (August 14, 2024). According…
Peter John Clarke, of Palm Beach, Florida, a stockbroker registered with Truist Investment Services Inc., is the subject of a customer initiated investment related FINRA securities arbitration claim in which the customer requested $6,300,000.00 in damages based upon allegations that Clarke made unsuitable recommendations in equities when Clarke was associated with Truist Investment Services Inc….
Tina Michele Bryant (also known as Tina Bryant Cooper and as Tina Rowland Bryant) of Greenville, South Carolina, a stockbroker currently registered with Truist Investment Services Inc., is referenced in a customer initiated investment related written complaint on March 5, 2021, in which the customer requested $21,330.03 in damages because Bryant allegedly failed to follow…