National investment loss lawyers KlaymanToskes is investigating broker Tyson Allred (CRD# 3081010) of Members Financial Services, LPL Financial, and U.S. Bancorp Investments Inc. after a customer complaint was filed with the Financial Industry Regulatory Authority (“FINRA”), alleging $1,529,600 in investor damages due to allegations that the representative made specific assurances that the investments chosen for the customers protected principal and a guaranteed return of 3.25% after two years. The complaint allegedly relates to investments in a Mutual Fund and Unit Investment Trust.
According to FINRA BrokerCheck, broker Tyson Allred was previously registered with U.S. Bancorp Investments from 2001 to November 2022 in Portland, OR. Allred is currently registered with LPL Financial and is also reportedly doing business as Members Financial Services in Portland, OR.
Investors that suffered losses with broker Tyson Allred are encouraged to contact attorney Lawrence L. Klayman, Esq., at 888-997-9956 or by email at lawrence@klaymantoskes.com to discuss recovery options. We do not collect attorney’s fees unless we are able to obtain a financial recovery for you.
KlaymanToskes is a leading national investment loss law firm that represents the interests of investors throughout the world who have suffered losses due to broker misconduct, investment fraud, and securities violations.
The article linked below contains important information relating to the complaints against broker Tyson Allred:
If you suffered losses with broker Tyson Allred, contact KlaymanToskes at 888-997-9956 or fill out a short contact form for a free and confidential consultation.
The firm has helped recover over $600 million (exclusive of attorneys fees and costs) for investors, and can help you determine if your loss is due to financial advisor misconduct, unsuitable investment advice, and/or other securities violations.
As an investor, there are a few signs that you should look out for if you believe you may have a claim against broker Tyson Allred. These signs could potentially indicate misconduct, negligence, or investment fraud. Investors are encouraged to contact our firm immediately if you have experienced any of the following:
Some investors have close relationships with their brokers due to the time and trust built over the course of their investment relationship. However, it is crucial to remember that financial decisions should be based on careful analysis and due diligence rather than solely relying on personal relationships.
According to FINRA and the SEC, brokerage firms such as Members Financial Services/LPL Financial, and U.S. Bancorp Investments Inc. are responsible for the supervision of all of the activities of their registered financial advisors. Investors may be entitled to a financial recovery if their firm failed to supervise the representative managing their account, and/or if their financial advisor made unsuitable investment recommendations.
Engaging the services of an experienced securities attorney to evaluate your specific circumstances is strongly advised. At KlaymanToskes, our team of experienced securities attorneys has a deep understanding of this complex area of law, allowing us to provide invaluable insight and tailored guidance that directly addresses your individual needs.
If you suffered losses with broker Tyson Allred, or have concerns regarding your investment portfolio at Members Financial Services, LPL Financial, and/or U.S. Bancorp Investments Inc., contact KlaymanToskes at 888-997-9956 or fill out a short contact form for a free and confidential consultation to discuss your recovery options.