Scott Anthony Biedrycki
Registration & licensing
As recorded in SEC IAPD / FINRA BrokerCheck
- Broker-dealer registration
- Active
- Investment adviser registration
- Active
- Exams passed (6)
- Series 65Series 63SIESeries 7Series 6Series 1
- Registered states (27)
- Alabama · California · Colorado · Connecticut · District Of Columbia · Florida · Georgia · Illinois · Indiana · Kansas · Maryland · Massachusetts · Michigan · New Jersey · New York · North Carolina · Ohio · Oklahoma · Oregon · Pennsylvania · South Carolina · Tennessee · Texas · Virgin Islands · Virginia · Washington · Wisconsin
- Years in the industry (source record)
- 47
- Professional designations
- Not yet retrieved from the source record
Disclosures
Copied from the official record
No disclosure events are flagged in the source record as of Aug 20, 2026.
This reflects our copy of the record on that date only. Confirm the current position on FINRA BrokerCheck ↗ or SEC IAPD ↗.
Current firm
From the firm record
- Firm
- Merrill Lynch, Pierce, Fenner & Smith Incorporated
- Firm CRD
- 7691
- SEC number
- 801-14235
- Assets under management
- $1.8T as of Jun 29, 2026
- Website
- www.merrilledge.com/GUIDED-INVESTING ↗
- Phone
- 800-637-7455
- Firm location
- New York, NY, 10036
Employment history (15)
From the source registration record · current first
-
Jan 26, 2007 → present
-
start not retrieved → present
-
Mid Atlantic Financial Management, Inc.IA capacityMay 4, 2004 → Jan 26, 2007
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Mid Atlantic Capital CorporationBD capacityMay 3, 2004 → Jan 26, 2007
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London Pacific AdvisorsIA capacityMay 8, 2002 → May 4, 2004
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London Pacific Securities, Inc.BD capacityApr 21, 1998 → May 3, 2004
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Royal Alliance Associates, Inc.BD capacityJan 31, 1997 → Apr 20, 1998
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Manequity, Inc.BD capacityJan 1, 1990 → Apr 15, 1997
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Keogler, Morgan & Company, Inc.BD capacityMar 15, 1994 → Jan 31, 1997
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Mml Investors Services, Inc.BD capacityNov 6, 1991 → Mar 17, 1994
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New England Securities CorporationBD capacityOct 27, 1988 → Nov 21, 1989
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Aug 5, 1987 → Dec 13, 1988
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Equico Securities, Inc.BD capacityAug 5, 1987 → Dec 13, 1988
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John Hancock Mutual Life Insurance CompanyBD capacityFeb 5, 1979 → Jul 6, 1983
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John Hancock Distributors, Inc.BD capacityFeb 5, 1979 → Jul 6, 1983
Source & corrections
Where this page comes from
Advisor registration data on this site is reproduced from the SEC's Investment Adviser Public Disclosure (IAPD) system and FINRA's BrokerCheck. Those systems are the official records; this site is not. We do not alter the factual content of the records we reproduce.
Data compiled Aug 20, 2026. Source: IAPD_SEARCH. Your use of BrokerCheck data reproduced here is subject to FINRA's Terms of Use.