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Meyer Wilson

Recovering Losses caused by Investment Misconduct

Toll Free 866-827-6537 (866-8-BROKER)

Banc of America Securities - Bank of America

Bank of America is the largest commercial bank in the United States. One of the two investment banking subsidiaries of Bank of America, Banc of America Securities, LLC, is a full-service firm and a member of the New York Stock Exchange. With its world headquarters technically at the Bank of America Corporate Center in Charlotte, NC, Banc of America primarily operates its investment banking services in New York City. "Banc" is used in the securities firm's name to demonstrate that the company is not a bank and thus not insured by the FDIC.

A securities brokerage firm licensed by FINRA, Banc of America Securities has a legal duty to supervise its brokers and its brokers' recommendations to clients to ensure compliance with and prevent violations of the rules of the security industry. When an individual broker is negligent or acts in an unlawful manner against the interests of the client and that client suffers damages as a result of such wrongdoing, the firm may be held liable for the investor's losses.

The law firm of Meyer Wilson has the experience, expertise and financial resources to represent clients with investor claims against securities brokerage firms such as Banc of America Securities. Our firm represents clients with investor claims in federal and state courts, and in arbitration through The Financial Industry Regulatory Authority (FINRA), the American Arbitration Association (AAA) and private arbitration. We also represent international clients with claims against brokerage firms in the United States through FINRA.

To determine whether you have a case against Banc of America Securities for your losses, call us toll-free at 1.866.827.6537 or complete our online form for a free case evaluation.