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Terrence Majerko Embroiled in an Investor Dispute

Feb 16, 2022 Investor Disputes

Terrence Majerko (CRD #:2580821), a broker and investment advisor registered with   LPL Financial, is involved in an investor dispute according to his BrokerCheck record, accessed on February 2, 2022. Keep reading for more details. 

According to the allegations filed on October 10, 2021, Terrence Majerko was involved in a conspiracy to deprive his client’s funds. This alleged conduct violates FINRA Rule 2010, which requires associated persons to observe high standards of commercial honor and just and equitable principles of trade. 

The firm denied the dispute, but investors should know that firms can deny disputes without any external review. It is also important for investors to know that they can still pursue FINRA arbitration and recover their losses following a denial.

Background Information

Terrence Majerko has passed the following exams:

  • Series 63 - Uniform Securities Agent State Law Examination
  • SIE - Securities Industry Essentials Examination
  • Series 31 - Futures Managed Funds Examination
  • Series 7 - General Securities Representative Examination
  • Series 24 - General Securities Principal Examination

He is a registered broker in 12 states. He is also a registered investment advisor in California.

Besides LPL Financial, Terrence Majerko has also worked with: A. G. Edwards & Sons  (CRD#:4).

Kurta Law Can Help

If you have worked with Terrence Majerko and have concerns about your investments, don't hesitate to contact us today at 877-600-0098 or info@kurtalawfirm.com for a free consultation.

For nearly 20 years, Kurta Law has advocated for investors to recover their investment losses from brokers and brokerage firms. Kurta Law is a nationally recognized law firm and exclusively represents investors against brokers and brokerage firms on a contingency basis. This means that the firm only earns a fee if our securities attorneys recover money on your behalf.