MC
MC

Michael Clark

22 Years of Experience
Richmond, ME
Broker

Michael Clark is a registered investment advisor at LPL Financial LLC, based in Richmond, ME, with 22 years of industry experience. Their practice areas include Investment Management. Their firm serves 1,676,192 clients with $620B in assets under management.

Compensation
Commission-BasedFee-Only (% of Portfolio)Fixed/Hourly
Firm Size
27420 advisors
Number of Clients
1,676,192 clients
Average Client Portfolio
$369K average
Assets Under Management
$618.9B

Fee Structure

Minimum Investment:$1K
Investment management only (planning not offered)

LPL Financial, along with your advisor, charges an annual fee based on the value of your account. This fee covers asset management, administrative, and custodial services. The fee is negotiable, but the maximum is 2.50% per year, paid quarterly in advance. LPL may share a portion of this fee with your advisor.

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Location

111 Main Street, Richmond, ME, 04357

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History

Regulatory History
Clean regulatory record

No disclosures, customer disputes, or regulatory actions on file.

Disclosures include customer complaints, regulatory actions, and other events that advisors must report to the SEC. A clean record means none have been reported.

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Other Business Activities

Michael uses Camden Financial Consultants as a DBA for his LPL business. He dedicates 100% of his time to this activity.

Employment History
Current Registrations
LPL Financial LLC
October 2015 - Present · 10 yrs 7 mos
LPL Financial LLC
October 2015 - Present · 10 yrs 7 mos
LPL Financial LLCBroker
October 2015 - Present · 10 yrs 7 mos
Previous Registrations
Cetera Investment Advisers LLC
January 2014 - October 2015 · 1 yr 9 mos
Cetera Investment Services LLCBroker
November 2011 - October 2015 · 3 yrs 11 mos
Cetera Investment Services LLC
November 2011 - January 2014 · 2 yrs 2 mos
Strategic Advisers, INC.
September 2010 - October 2011 · 1 yr 1 mo
Fidelity Brokerage Services LLCBroker
September 2010 - October 2011 · 1 yr 1 mo
CUNA Brokerage Services, INC.
March 2007 - August 2010 · 3 yrs 5 mos
CUNA Brokerage Services, INC.Broker
March 2007 - August 2010 · 3 yrs 5 mos
Nylife Securities LLCBroker
November 2006 - February 2007 · 3 mos
Ameriprise Financial Services, INC.
August 2003 - September 2006 · 3 yrs 1 mo
Ameriprise Financial Services, INC.Broker
July 2003 - September 2006 · 3 yrs 2 mos
Ids Life Insurance CompanyBroker
July 2003 - July 2006 · 3 yrs
State Registrations15 states
AZCOCTFLKYMAMENCNHNJNYPASCTXVA
AdvisorBrokerBoth

You can work with an advisor not registered in your state. Most advisors can legally serve a small number of clients across state lines without registering.

Exams
No exam information available for this advisor.