Me -- with FINRA and the SEC. So I know the regulators ultimately did nothing (other than a temporary delay in the R/S) to act on my complaints about GOIG, SAVW or Ike Sutton.
As for other posters claims of filing complaints: They have to account for their own actions.
If anyone wants, they can forward this post to the SEC and FINRA. If that person does it, add this note:
There's another person that joined the long queue of believers that the government and private regulator are BS artists that don't give a flying %$#* about the interests of traders or investors.
IMO its only worth day trading the markets at best and no point in investing (I'm not thinking of pinks which make up less than 0.0005% of my net worth). In most cases I am of the belief that its safer shorting than investing.