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FINRA has suspended this individual from acting as a broker. Please see the detailed report for more information
The representative was previously registered both as an investment adviser and as a broker. Visit BrokerCheck for more information on this individual's Broker record. Go to BrokerCheck Site
Respondent Snodgrass failed to comply with an arbitration award or settlement or to satisfactorily respond to a FINRA request to provide information concerning the status of compliance
Resolution
Letter
Sanctions
Suspension
Registration Capacities Affected
All capacities
Duration
Indefinite
Duration Explanation
Continues until required payment is made or discharged.
Start Date
9/29/2023
Regulator Statement
Pursuant to Article VI, Section 3 of FINRA By-Laws, and FINRA Rule 9554, Respondent Snodgrass is suspended on September 29, 2023 for failure to comply with an arbitration award or settlement agreement or to satisfactorily respond to a FINRA request to provide information concerning the status of compliance.
7/6/2023
Employment Separation After Allegations
Firm Name
BCG Securities, Inc.
Termination Type
Discharged
Allegations
RR Snodgrass did not follow firm policies and procedures relating to servicing a customer's account.
6/14/2019
Judgment / Lien
Judgment/Lien Amount
$3,641.45
Judgment/Lien Type
Civil
Broker Comment
This judgment will be paid in full via wage garnishment.
9/26/2016
Employment Separation After Allegations
Firm Name
UBS Financial Services Inc.
Termination Type
Discharged
Allegations
Financial Advisor was discharged after a Firm review concluded that he violated several Firm policies in connection with his failure to conduct sufficient due diligence during the onboarding of a new client.
Broker Comment
Mr. Snodgrass denies he violated any securities rule. Moreover Mr. Snodgrass did conduct the appropriate amount of due diligence for the client at issue.
8/21/2009
Customer Dispute
Denied
Allegations
THE CLIENT ALLEGED FAILURE TO FOLLOW INSTRUCTIONS WITH RESPECT TO INVESTMENT GUIDELINES. 02/2006-09/2008.
Damage Amount Requested
$122,000.00
Broker Comment
CLAIM DEIED
3/12/2009
Customer Dispute
Denied
Allegations
CLIENT ALLEGED THAT THE PURCHASE OF AN ANNUITY WAS MISREPRESENTED. DAMAGES UNSPECIFIED. 2006
Damage Amount Requested
$100,800.00
License(s)
The broker is not currently registered with any state or SRO.
A brokerage firm, also called a broker-dealer, is in the business of buying and selling securities – stocks, bonds, mutual funds, and certain other investment products – on behalf of its customer (as broker), for its own bank (dealer), or both. Individuals who work for broker-dealers - the sales personnel are commonly referred to as brokers.
IA
Investment Adviser
An investment adviser is paid for providing advice about securities to clients. In addition, some investment advisers manage investment portfolios and offer financial planning services.
Disclosures
Disclosures can be customer complaints or arbitrations, regulatory actions, employment terminations, bankruptcy filings and certain civil or criminal proceedings that they were a part of.
Disclosures can be customer complaints or arbitrations, regulatory actions, employment terminations, bankruptcy filings and certain civil or criminal proceedings that they were a part of.