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2015046503001 RBC Capital Markets LLC CRD 31194 AWC vr (2024-1717028404866).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO. 2015046503001 TO: Department of Enforcement Financial Industry Regulatory Authority (FINRA) RE: RBC Capital Markets, LLC (Respondent) Member Firm CRD No. 31194 Pursuant to FINRA Rule 9216, Respondent RBC Capital Markets, LLC submits this Letter of Acceptance, Waiver, and Consent (AWC) for the purpose of proposing a settlement of the alleged rule violations described below.

2024081446201 Andrew J. Egber CRD 1894585 AWC gg (2024-1716855603303).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO. 2024081446201 TO: Department of Enforcement Financial Industry Regulatory Authority (FINRA) RE: Andrew J. Egber (Respondent) General Securities Representative CRD No. 1894585 Pursuant to FINRA Rule 9216, Respondent Andrew J. Egber submits this Letter of Acceptance, Waiver, and Consent (AWC) for the purpose of proposing a settlement of the alleged rule violations described below.

2023077591501 Gary Francis Harpe CRD 2983634 Complaint vr (2024-1716769212634).pdf

FINANCIAL INDUSTRY REGULATORY AUTHORITY OFFICE OF HEARING OFFICERS Disciplinary Proceeding No. 2023077591501 Department of Enforcement, Complainant, v. Gary Francis Harpe, CRD No. 2983634, Respondent. COMPLAINT The Department of Enforcement alleges: SUMMARY Respondent Gary Francis Harpe failed to respond to three FINRA requests for information and documents made pursuant to FINRA Rule 8210 and in connection with FINRA’s investigation into the circumstances surrounding Harpe’s termination from his FINRA member firm.