LPL FINANCIAL LLC, FINANCIAL ADVISER JEFFREY GUY LABELLE HAS 7 DISCLOSURES
Former Registered Broker and Investment Adviser, Jeffrey Guy Labelle CRD #1547518 who has 30 years of experience in the financial industry and with 15 different firms have four (4) disclosures against him with three (3) pending.
Vernon Litigation Group provides a free Broker Check service to provide you with information and disclosures on an investment adviser or broker. According to the Financial Industry Regulatory Authority or (FINRA), Jeffrey Guy Labelle has four (4) disclosures, with three (3) pending. A list of disclosures are as follows:
- February 2020: Allegations: “Claimant alleges her financial adviser recommended investments that were not suitable for her. The claimant generally alleges breach of fiduciary duty, breach of contract, and negligent supervision.” Damages requested $250,000.00
- November 2019: Allegations: ”Claimant alleges her former rep recommended investments that were not suitable for her. The claimant generally alleges unsuitability, breach of fiduciary duty, negligence, breach of contract, and failure to supervise.”
- April 2019: Allegations: ” Claimant alleges his former advisor recommended investments that were not suitable for him. The claimant generally alleges breach of fiduciary duty, breach of contract, and negligence. Damages requested; $110,000.00. Status [Pending].
Vernon Litigation Group is a law firm that represents clients in courtroom litigation, arbitration, including FINRA arbitration and mediation throughout the United States. Our lawyers have significant experience pursuing claims against brokerage firms/ financial advisors/ registered investment advisors. Please contact us to discuss your rights if you believe a Registered Investment Advisor has failed to act in your best interests or otherwise abused your trust. You can reach us at (239) 319-4434 or email Brooke Sandoval-Banker at firstname.lastname@example.org.