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Employer firm

Rbc Capital Markets, LLC CRD 31194

$310B regulatory AUM 1,893 advisory clients

Reported services (Item 5G)

  • Financial planning
  • Portfolio management (individuals)
  • Portfolio management (pooled vehicles)
  • Portfolio management (institutions)
  • Pension consulting
  • Selection of other advisers

From the firm’s Form ADV. Read the guides:

Current Employers
Rbc Capital Markets, Llc

200 Vesey St., New York, NY 10281 • United States

Current Registrations

AuthorityCategoryStatusDate
NY RA APPROVED 2021-08-06
TX RA APPROVED_RES 2018-03-16
  • NY RA
    APPROVED
    Since 2021-08-06
  • TX RA
    APPROVED_RES
    Since 2018-03-16

Branch Locations

1211 Avenue Of The Americas Suite 3300, New York, NY 10036 • United States

Bridgehampton, NY • United States

Disclosures

1 disclosure category reported Yes on this SEC record. Read each Yes below, then review the firm’s Form ADV Item 11 guide for how disclosure questions work.

  • Regulatory action No
  • Criminal No
  • Bankruptcy No
  • Civil judicial No
  • Bond No
  • Judgment / lien No
  • Investigation No
  • Customer complaint Yes
  • Termination No
Employment History
OrganizationCityStateFromTo
Morgan Stanley Smith Barney New York NY 06/2009 03/2018
Morgan Stanley Private Bank, National Association New York NY 01/2015 03/2018
Rbc Capital Markets, Llc. New York NY 03/2018 Present
City National Bank New York NY 07/2018 Present
  • 06/2009 → 03/2018
    Morgan Stanley Smith Barney
    New York, NY
  • 01/2015 → 03/2018
    Morgan Stanley Private Bank, National Association
    New York, NY
  • 03/2018 → Present
    New York, NY
  • 07/2018 → Present
    City National Bank
    New York, NY
Previous Registrations
  • 2009-06-01 → 2018-03-19
    New York, NY
  • 2008-04-25 → 2009-06-01
    Morgan Stanley & Co. Llc
    New York, NY
  • 2006-01-11 → 2008-05-05
    New York, NY
    New York, NY
  • 2004-01-08 → 2005-03-29
    Millburn, NJ
  • 2003-06-03 → 2004-01-07
    J.J.B. Hilliard, W.L. Lyons, Llc
    Millburn, NJ
Exams
CodeExamDate
S65 Uniform Investment Adviser Law Examination 2002-04-02
S63 Uniform Securities Agent State Law Examination 1986-02-24
  • S65 Uniform Investment Adviser Law Examination
    2002-04-02
  • S63 Uniform Securities Agent State Law Examination
    1986-02-24

View on SEC IAPD

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