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For nearly a decade, Ryan Hale, a CERTIFIED FINANCIAL PLANNER™ Practioner (CFP®) and registered representative with LPL Financial, has been working in the financial services industry. Ryan started his career in North Carolina with Wachovia Bank, N.A. as a branch manager and financial specialist before returning to New England and spending five years as a senior financial consultant and Assistant Vice President with Putnam Investments. Ryan holds his FINRA Series 6,7,63,65
licenses with LPL Financial, as well as Life and Health Licenses. After growing up in Eliot, Maine, Ryan received his degree in Business Administration from the University of North Carolina at Chapel Hill.
E-mail:
Phone: 207-985-8300
Toll-free: 877-848-9653
NOTICE regarding entry of orders: DO NOT place orders to buy or
sell securities via e-mail or voice mail. This and all other
time sensitive requests should be placed directly with your LPL
Representative at (207)985-8300.
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Securities & Insurance Products are offered through LPL Financial, and it's affiliates, Member FINRA/SIPC. Kennebunk Financial Services and Kennebunk Savings Bank are not affiliated with LPL Financial. These products are not a deposit, are not FDIC insured, not insured by any federal government agency, not guaranteed by the bank or any affiliate, and may be subject to investment risk, including possible loss of value.
LPL Financial Corp (LPL) is the nation’s number one
independent broker/dealer based on total revenues*, with over 900 staff members
headquartered in Boston and San Diego. LPL has over 5,100
investment professionals located in offices and financial
institutions throughout the United States and has custodied
assets in excess of $65 billion.
*As reported in Financial Planning magazine, June 1996-2007, based on total revenues. |