# SS&C MARKET SERVICES, LLC

> FINRA firm 23568 · **⚠ HAS DISCLOSURE EVENTS**

## ⚠ Regulatory disclosure flag

FINRA reports regulatory or customer-dispute disclosure events for this firm. The disclosure detail (regulatory actions, arbitrations, customer complaints, criminal events) is on the canonical BrokerCheck page — every advisor / broker-dealer carrying a yes on this flag has at least one reported event.

## Key facts

- **FINRA firm ID:** 23568
- **Firm name:** SS&C MARKET SERVICES, LLC
- **Other names:** AE SERVICES, INC., WALL STREET PREFERRED MONEY MANAGERS, INC., WALL STREET ADVISORS, LLC, WALL STREET ADVISORS, INC., WALL STREET ADVISOR SERVICES, LLC, SS&C MARKET SERVICES, LLC, DST MARKET SERVICES, LLC
- **Investment Adviser scope:** —
- **SEC BD file number:** 8-40530
- **Branches:** 6
- **Has disclosure events:** YES

## Primary source

FINRA BrokerCheck: https://brokercheck.finra.org/firm/summary/23568

## Citation

> FINRA BrokerCheck, firm 23568 (SS&C MARKET SERVICES, LLC). Retrieved via AI Analytics 2026-07-09 from https://api.ai-analytics.org/broker/23568.

---

*[FINRA firms dataset](/datasets/finra-firms) · CC0 1.0*
