Investigation Targets Jarrett Imamura and LPL Financial LLC Over Suitability Dispute

Jarrett Imamura, a broker and investment advisor associated with LPL Financial LLC, is currently facing a pending customer dispute, as reported on his FINRA BrokerCheck record (CRD #3036591). The national investment fraud law firm, Haselkorn & Thibaut, is investigating the advisor and company, offering free consultations to affected clients. Allegations Against Jarrett Imamura and LPL […]

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Mark Alan Thompson (EPG Wealth Management) (Arkadios Capital) Investigation

At Haselkorn & Thibaut, we’re closely following the Mark Alan Thompson investigation. This case involves a stockbroker named Mark Alan Thompson, who has faced challenges regarding investment advice and suitability concerns for his clients. One client has requested over $1 million in damages in connection with these issues. Since February 2017, Thompson has been associated

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FINRA Fines Percival Financial Partners and Kenneth P. Taylor Sr.

The Financial Industry Regulatory Authority (FINRA) fined Percival Financial Partners Ltd. and Kenneth P. Taylor Sr. for regulatory violations including insufficient net capital maintenance, conducting business while suspended, filing inaccurate financial reports, and maintaining incorrect books and records. The violations occurred on multiple dates including November 1, 2021, April 1, 2022, and April 9, 2023.

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LPL Financial Advisor Rowena Ruff Faces Pending Dispute Over Alleged Unsuitable Investment

Rowena Ruff, a broker and investment advisor associated with LPL Financial LLC (CRD# 6413), is facing a pending customer dispute filed on February 8, 2024. The complaint, lodged by a disgruntled investor, alleges that an investment made in 2014 was unsuitable for the customer’s investment objectives and risk tolerance. The investment in question is a

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