Close

Articles Posted in LPL Financial

Updated:

Texas Investors Awarded $2.57M in Second FINRA Arbitration Win Against LPL

Claimants also name former LPL Financial brokers Edward Miller and Antonio Reyna Two investors were awarded $2.57m in their Financial Industry Regulatory Authority (FINRA) arbitration case against LPL Financial and Financial Resources Group. Also named as respondents but who were not ordered to pay damages are two former ex-LPL financial…

Updated:

Former LPL Financial Broker James Couture Rejects Plea Deal Over Misappropriation Allegations

Massachusetts Broker Accused of Defrauding Customers of $3M James Kenneth Couture, an ex-LPL Financial registered representative, was arrested in July 2021 after turning down a plea deal related to criminal charges that accused him of stealing $3M from investors. Following his decision not to accept the deal, a grand jury…

Updated:

Former LPL Financial Broker Kevin McCallum Facing Over $4.8M in FINRA Arbitration Claims

Glacier Point Advisors Managing Partner is Ordered to Pay Customers More Than $1.2M in Restitution  Kevin Marshall McCallum, a former LPL Financial stockbroker and the Managing Partner of Glacier Point Advisors has been suspended by the Financial Industry Regulatory Authority (FINRA) for a year. McCallum is ordered to pay over…

Updated:

Former LPL Broker Paul McGonigle is Accused of Defrauding Investors

Ex-Middleboro, Massachusetts LPL Financial Advisor Could Be Sentenced to 20 Years in Prison Paul Richard McGonigle, a former LPL Financial broker, has been arrested for allegedly stealing clients’ retirement assets, including older investors. He is charged with aggravated identity theft, mail fraud, and multiple counts of wire fraud. McGonigle could…

Updated:

Ex-LPL Financial Broker Matthew Clason Pleads Guilty To Defrauding Elderly Investor of $600K

Barred Connecticut Financial Advisor Faces Pleads Guilty to Wire Fraud Matthew O. Clason, a former LPL Financial broker, has pleaded guilty to wire transfer fraud related to his misappropriation of $600K from a 73-year-old Connecticut retiree. Now he could be sentenced to up to 20 years behind bars. The theft…

Updated:

FINRA Bars Former LPL Financial Broker Rhett Bedwell Following Ponzi Fraud Allegations

SSEK Law Firm Is Representing Arkansas Retiree In $500K Customer Dispute  The Financial Industry Regulatory Authority (FINRA) has barred ex-LPL Financial stockbroker, Rhett Douglas Bedwell after he refused to provide key documents into the self-regulatory organization’s probe into allegations that he invested funds from a client’s IRA in a Ponzi…

Updated:

LPL Financial Acquires Lucia Securities

San Diego-Based Brokerage Firm Under Scrutiny Over Sierra Income Sales LPL Financial Holdings (LPLA), the largest independent brokerage firm in the United States, has finalized its acquisition of Lucia Securities, a San Diego-based broker-dealer and registered investment advisor. With over $1.5B in assets, Lucia Securities and its advisors will operate…

Updated:

LPL Financial Fined $6.5M by FINRA Over Inadequate Supervision

Lax Oversight Purportedly Allowed An LPL Broker to Continue Defrauding Customers in Ponzi Scam The Financial Industry Regulatory Authority (FINRA) has fined LPL Financial Holdings (LPLA) $6.5M due to purported supervisory inadequacies related to recordkeeping, fingerprinting employees that were non-registered representatives, and its financial advisers’ consolidated reports. The self-regulatory organization…

Updated:

Broker Tamber Proctor Accused of Unsuitably Recommending FS Energy & Power Fund and the Northstar REIT

Ex-LPL Broker Marketed Non-Traded Investments To Mississippi Retiree  A retired investor has filed a Financial Industry Regulatory Authority (FINRA) arbitration claim against LPL Financial and its former broker, Tamber King Proctor, seeking up to $100K in damages.  The claimant contends that LPL Financial and Proctor should have never recommended that…

Updated:

SEC Says Fired LPL Financial Broker Stole $300K From 73-Year Old Retiree

Former LPL Financial Investment Advisor Was Also Was Let Go By  Integrated Wealth Concepts  The Securities and Exchange Commission (SEC) has filed civil charges accusing former LPL Financial (LPLA) registered representative, Matthew O. Clason, of defrauding an older investor of over $300K.  In August, Clason, who worked out of Glastonbury,…

Contact Us
Live Chat