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Timothy McConnell is the Subject of an Investor Dispute

Timothy McConnell (CRD #: 1996005), a broker registered with Osaic Wealth, is the subject of an investor dispute. This is according to his BrokerCheck record, accessed on July 31, 2024. Keep reading if you have questions regarding his alleged conduct. 

Investor Allegations 

On May 2, 2024, an investor alleged that Timothy McConnell created a Trust in North Carolina when the client resided in California. The investor is seeking $100,000. 

High Standards of Commercial Honor

FINRA Rule 2010 holds brokers to high standards of commercial honor and just and equitable principles of trade. Failing to create a Trust in the correct state may violate this rule. 

Background Information 

Timothy McConnell has passed the following exams: 

  • Series 63 Uniform Securities Agent State Law Examination 
  • Series 65 – Uniform Investment Adviser Law Examination
  • SIE – Securities Industry Essentials Examination 
  • Series 7 General Securities Representative Examination 
  • Series 6 Investment Company Products / Variable Contracts Representative Examination 
  • Series 24 General Securities Representative Examination 
  • Series 26 Investment Company Products / Variable Contracts Principal Examination 

He is a registered broker in 11 states and is a registered investment adviser in Colorado. 

During his 34 years of experience, Timothy McConnell has registered with the following firms: 

  • Osaic Wealth (CRD #: 23131) 
  • The Ameriflex Group (CRD #: 305585) 
  • SagePoint Financial (CRD #: 133763) 
  • MML Investors Services (CRD #: 10409) 
  • MSI Financial Services (CRD #: 14251) 
  • New England Securities (CRD #: 615) 
  • New England Securities Corporation (CRD #: 615) 
  • AXA Advisors (CRD #: 6627) 
  • The Equitable Life Assurance Society of the United States (CRD #: 4039) 

Kurta Law Can Help 

If you have worked with Timothy McConnell and have concerns about your investments, do not hesitate to contact us at 877-600-0098 or email 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 that 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. Do not let securities fraud go unchecked. Start your recovery process today.