Rex Securities Law Investment Fraud Attorney Reviews LPL Financial- Lawsuits, Arbitrations and Customer Disputes (2024)

Rex Securities Law Investment Fraud Attorney Reviews LPL Financial- Lawsuits, Arbitrations and Customer Disputes https://rexsecuritieslaw.com/wp-content/themes/movedo/images/empty/thumbnail.jpg 150 150 Robert Rex, Esq. Robert Rex, Esq. https://secure.gravatar.com/avatar/fdf83cd1ed57a0f07270ad756fbea2eb?s=96&d=mm&r=g

Last Updated: June 2024

LPL Financial Investigation Summary

Here’s what you need to know about Fort Mill, SC, headquartered brokerage firm LPL Financial:

  • Name: LPL Financial LLC
  • Function: Stock Brokerage Firm / Financial Advisory Firm
  • Location: Over 13,000 offices nationwide.
  • Number of Registered Representatives: Over 21,000
  • CRD #6413
  • Can LPL Financial LLC be sued in FINRA arbitration: Yes
  • Sanctioned by Securities Regulators: Yes- Many times, by state and federal regulators as well as self-regulatory agencies, see below.
  • Under common control with Fortigent LLC

Discuss your case with experienced investment fraud lawyer Bob Rex at (877) 224-3199 for a free consultation.

Did You Lose Money With A Broker Who is Registered with LPL Financial LLC?

Individual stockbrokers/financial advisors (referred to as registered representatives in the industry) are required to be registered with a FINRA registered broker dealer. Often times that broker will operate under a “doing business as” (dba) name rather than under the name of the FINRA registered broker dealer where he or she is registered. For example, broker John Doe may be registered with LPL Financial (or any of the other thousands of FINRA registered broker dealers nationwide) but his financial services business might be known in the local community as John Doe Financial Services or John Doe Investment Planning, etc.

Should you have a claim for stockbroker malpractice, fraud or negligence for the mishandling of your account, the broker dealer where the stockbroker is registered is liable for those losses under theory that a principal is liable for the damages caused by his agents acting within the scope of their employment.

If your LPL Financial broker or financial advisor causes damages due to the mishandling of your account, LPL Financial can be held liable.

See “How to Research Your Broker-What is a CRD?” for instructions on how to access FINRA and SEC regulatory records and learn more about a broker or a broker-dealer firm.

LPL Financial LLC Has A Lengthy History of Regulatory Violations

  • LPL Financial has been disciplined numerous times over the years by state and federal securities regulatory agencies, including the Financial Industry Regulatory Authority, the U.S. Securiites & Exchange Commission, and the North American Securities Association (NASAA) for violations of industry rules as well as state and federal securities laws.
  • As reflected on their CRD (CRD 6413), LPL Financial has 186 regulatory disclosures on their FINRA record These violations have occurred regularly for many decades and have resulted in many, many millions in fines being assessed, including these recent events:
  • The Pennsylvania Department of Banking and Securities assessed a $190,000 in 8/2023 for LPL Financial’s failure to register at least one adviser representative in violation Pennsylvania statutes
  • FINRA fined LPL Financial $3,000,000 in July 2023, and required the firm to pay restitution in the amount of $100,000 to resolve allegations that LPL Financial failed to establish and maintain a system to supervise wire transfers and the ability to detect possible instances of forgery or falsification of electronic signatures.
  • The US Securities and Exchange Commission fined LPL Financial $750,000, required payment of $4.1 million in restitution, plus interest, for its failure to respond to conflicting information when it opened a customer account and processed wire transfers which allowed a registered representative to misappropriate more than $7 million.

If you would like to review all 186 regulatory sanctions against LPL Financial look at their CRD.

Rex Securities Law Investigations of Registered Representatives Who Have Worked for LPL Financial

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Recover Your Investment Losses Now With Rex Securities Law

If you have suffered investment losses in an account handled by a broker or financial advisor who works for LPL Financial, 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) 224-3199to 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.

Rex Securities Law Investment Fraud Attorney Reviews LPL Financial- Lawsuits, Arbitrations and Customer Disputes (2024)
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