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Articles Posted in FINRA rule 2010

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Former Broker James Alan Schumaker Suspended by FINRA Over Dealings with Barred Registered Representative – Lafayette, IN

FINRA has suspended James Alan Schumaker from the securities industry for nine months for allowing a former registered representative, who had been barred from the securities industry in 2014, to conduct a securities business. The barred registered representative was identified as Mr. Schumaker’s father. In addition to his suspension, Mr.…

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James Couture, Former LPL Financial Broker, BARRED by FINRA – Worcester, MA

**Update: June 2, 2021**  The Securities and Exchange Commission (“SEC”) has charged James Couture with defrauding investors.   The former LPL Financial broker-dealer and investment advisor allegedly defrauded his clients for about $2.9 million.  According to the SEC’s complaint, from approximately 2009 to December 2019, Mr. Couture, while operating an investment…

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