advisor-img.jpg
advisor

Chip Holston

LPL Financial

305 Fellowship Rd
Suite 105

Mount Laurel, NJ 08054

6093205144

About LPL Financial

LPL Financial (Nasdaq: LPLA) was founded on the principle that the firm should work for the advisor, and not the other way around. Today, LPL is a leader in the markets we serve, * supporting nearly 22,000 financial advisors, and approximately 800 institution-based investment programs and 500 independent RIA firms nationwide. We are steadfast in our commitment to the advisor-centered model and the belief that Americans deserve access to personalized guidance from a financial advisor. At LPL, independence means that advisors have the freedom they deserve to choose the business model, services, and technology resources that allow them to run their perfect practice. And they have the freedom to manage their client relationships, because they know their clients best. Simply put, we take care of our advisors, so they can take care of their clients.*No. 1 Independent Broker-Dealer in the U.S (Based on total revenues, Financial Planning magazine 1996-2023); No. 1 provider of third-party brokerage services to banks and credit unions (2020-2021 Kehrer Bielan Research & Consulting Annual TPM Report); Fortune 500 Company as of June 2021. LPL and its affiliated companies provide financial services only from the United States

See Disclosures

General Information

Firm Start Year

1989

CRD#

6180071

Firm CRD#

6413

States Licensed in

NJ, PA, FL, CA

Years of Experience in Financial Services

20

Number of Years with Current Firm

1

Work Experience

Peak Wealth Partners - LPL Financial - Associate Vice President | Private Wealth Advisor - May 2024 - Present Morgan Stanley - Financial Advisor - June 2019 - May 2024 Mass Mutual - Financial Advisor - Nov 2016 - July 2018 Merrill Lynch - Retirement Education Services Nov 2015 - Oct 2016 Retirement Benefits Contact Center - Mar 2013 - Nov 2016 BNY Mellon - Investment accountant Nov - 2011 - March 2013 JP Morgan - Operations specialist in Collateral Management - July 2007 - June 2010 State Street - Mutual Fund accountant - 2005 - 2007

Work with the following types of clients

Businesses, Individual Investors, Non-Profit Organizations

Advisory Services Provided

Education Funding and Planning, Financial Planning for Individuals, Financial Planning for Businesses, Risk Management, Financial Advice & Consulting, Investment Advice & Management, Estate Planning & Trusts, Insurance Products & Annuities, Financial Planning, Portfolio Management, Money Management, Wealth Management, Retirement Planning

Compliance

Registered Investment Advisor

Yes

Registered Representative

Yes

Investment Advisor Representative

Yes

Acknowledged fiduciary

Yes

Compliance Disclosures in Last 5 years

I have a clean record

Criminal Disclosures in Last 5 years

I have a clean record

Qualifications & Membership

Certifications, Accreditations & Designations

CRPC®

Securities Licenses

Series 7, Series 63, Series 65, Series 66

Insurance and Annuity Licenses

Variable Life, Long Term Care, Disability, Accident, Annuity, Health, Life, Variable Annuity

Firm Information

Advisor's Number of Clients

60

Advisor's Number of Managed Clients

55

Advisor's Number of Planning Clients

35

Assets Managed by Advisor

$22,000,000

Compensation and Fees

Fee Structure

Fee-Based

Minimum Portfolio Size for New Managed Accounts

$250,000

Compensation Methods

Commissions, Based on Assets, Flat Fee

Fee % Based on Assets

Ranges

Education

Bachelor of Arts - Policy Studies with a Concentration in Private Sector

Dickinson College
09/01/2000 -05/15/2004

Minor in Political Science -

Dickinson College
09/01/2000 -05/15/2004

Minor in Economics -

Dickinson College
09/01/2000 -05/15/2004

MBA - Business

Wilmington University
01/02/2010 -12/15/2010

Disclosures

RothIRA.org provides referrals to financial professionals of LPL Financial, LLC (LPL). RothIRA.org is not a current client of LPL for brokerage or advisory services. Financial professionals of LPL pay RothIRA.org cash compensation for these referrals, which creates the incentive for RothIRA.org to make these referrals, resulting in a conflict of interest.

LPL ADV 2A

https://www.lpl.com/content/dam/lpl-www/documents/disclosures/A58.pdf

Additional Detailed Disclosures

https://www.lpl.com/content/dam/lpl-www/documents/disclosures/wiseradvisor/wiseradvisor-lpl-detailed-disclosures.pdf

Securities and Advisory services offered through LPL Financial. A registered investment advisor. Member FINRA & SIPC. (hyperlink FINRA & SIPC) The financial professionals associated with LPL Financial may discuss and/or transact business only with residents of the states in which they are properly registered or licensed. No offers may be made or accepted from any resident of any other state.


LPL Financial representatives offer access to Trust Services through The Private Trust Company N.A. an affiliate of LPL Financial

Disclaimer

Securities offered through LPL Financial, Member FINRA & SIPC.

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