MELVIN PAUL BRODY is currently employed as a Broker and/or Investment Adviser at LPL FINANCIAL LLC located at 1378 FREEPORT RD STE 3A, PITTSBURGH, PA, 15238-3135.
MELVIN PAUL BRODY has worked at LPL FINANCIAL LLC since December 02, 2003
Disclosure History
MELVIN PAUL BRODY has 3 Disclosure Event(s).
Date: January 24, 2003 Category: Customer Dispute Allegations: CLIENT CLAIMS LACK OF SUITABILITY OF INVESTMENTS IN MUTUAL FUNDS FOR HIMSELF, HIS EX-WIFE, AND HIS DAUGHTERS. Damage Amount Requested: $12,217.00
Date: September 17, 2002 Category: Customer Dispute Allegations: CLIENT ALLEGES THAT HIS "INVESTMENTS...WAS SUPPOSED TO BE ENTRUSTED TO NON STOCK, LOW INTEREST SAFE INVESTMENT, SUCH AS TREASURE BILLS OR OTHER LOW RISK VEHICLES"... AND HE DISCOVERED THAT MONEY "WENT INTO A FUND THAT WAS 73% STOCK." CLAIMS HE WAS ADVISED THAT LEGAL DEPT WOULD "BE IN TOUCH...IN AN ATTEMPT OT RESOLVE MY SITUATION." DAMAGES ESTIMATED TO EXCEED $5000. Settlement Amount: $1,356.10
Date: June 12, 2002 Category: Customer Dispute Allegations: CLIENT ALLEGES THAT FINANCIAL ADVISOR MISREPRESENTED INVESTMENT THAT HE BOUGHT. DAMAGES ESTIMATED TO EXCEED $5000.
More Information
All individuals registered to sell securities or provide investment advice are required to disclose customer complaints and arbitrations, regulatory actions, employment terminations, bankruptcy filings and criminal or civil judicial proceedings.
A disclosure includes information about customer disputes, disciplinary events and financial matters on the broker's record as reported by securities regulators, the individual broker, and any involved firms. Some of these items may involve pending actions or allegations that have not been resolved or proven. The presence of a disclosure does not automatically indicate any wrongdoing.
BrokerCheck is the source of the data included in this Report. The data was compiled on June 29, 2018.
To view the full report for MELVIN PAUL BRODY, click here.
The use of BrokerCheck data is subject to the BrokerCheck Terms of Use.
×
Outdated Information
If you discover any errors or outdated information on this Website, please contact us and we will promptly correct such errors or outdated information.
If BrokerCheck® is the source of such errors or outdated information, please contact FINRA at (301) 590-6500.
×
BrokerSearch Removal
Brokersearch.info will not fully remove items from this Website without an applicable court order designating them for removal. Investors rely on the information available on this Website to decide whether to choose or retain a broker or investment adviser.
Upon written request, we may remove certain page(s) from appearing in search engine results using the robots.txt protocol.
When a person searches for your name using Google, Bing, Yahoo! and other search engines the page(s) from Brokersearch.info would not appear in the search results.
Please contact us to learn more about Search Engine Removal.