Last Updated: September 2025 — Durham, NC
Here’s what you need to know about Durham, NC, stockbroker Ryan S. Kelly:
- Name: Ryan Scott Kelly.
- Current Employer: Davenport & Company LLC (CRD #1588); registered since 05/08/2025; branch office at 2828 Pickett Road, Suite 280, Durham, NC 27705.
- Prior Firms: Raymond James Financial Services, Inc. (broker) and Raymond James Financial Services Advisors, Inc. (IA) — 03/2024–04/2025; Edward Jones (broker 12/2001–03/2024; IA 02/2007–03/2024).
- Other Business Affiliations:
- J & H Timber LLC
- Kelly Wealth Management Group — Officer/President
- Pintail Landing LLC
- Ricks Properties LLC
- CRD number: 4458454.
- Stockbroker / Financial Advisor. (Registered with 4 SROs; licensed in multiple states.)
- Can Broker be Sued in FINRA: Yes
- Discharged by a Prior Employer: Yes — discharged by Raymond James Financial Services, Inc. on 04/15/2025.
If you’ve sustained damages from Mr. Kelly, discuss your case with experienced investment fraud lawyer Bob Rex at (877) 224-3199 for a free consultation.
Did You Lose Money With Ryan Kelly As Your Stockbroker?
Mr. Kelly was discharged by Raymond James Financial Services, Inc. on April 15, 2025, based on an allegation that he retained confidential client information from a prior firm and potentially used it in connection with account-opening processes.
Allegations of Broker Misconduct Against Ryan Kelly
- Improper retention/use of clients’ nonpublic personal information
- Failure to follow firm privacy policies and procedures
Recover Your Investment Losses Now With Rex Securities Law
If you have suffered investment losses in an account handled by Ryan Scott Kelly, contact us for a complimentary consultation with an experienced securities lawyer to learn how you may be able to recover damages through FINRA arbitration.
With offices in Boca Raton, FL, and Austin, TX, stockbroker fraud attorney Bob Rex provides representation to investors nationwide who are seeking recovery of investment losses due to the negligence or fraud of stockbrokers, financial advisors, and broker-dealers.
If you have questions about how your account has been handled, call (877) 224-3199 to speak with an experienced securities attorney at no cost to you.
Most cases are handled on a contingent fee basis meaning that you do not pay legal fees unless we are successful.