G. A. REPPLE & COMPANY

G. A. REPPLE & COMPANY of CASSELBERRY, FL is an SEC-registered investment adviser (CRD 17486). Regulatory assets under management: $716.3M. This firm reports disciplinary history on Form ADV.

Registration

Business model

Compensation: % of AUM, Hourly, Fixed, Commissions, Other.

Clients served: Individuals, High net worth, Charities, Corporations.

Officers, owners & control persons (12)

NameRoleLocation
Glenn Allen ReppleMAJORITY STOCKHOLDER; PRESIDENT, GEN SEC PRINCIPAL
Timothy Glenn MoyerCCO; COO
Marie KatzFINOP
WILSON CHARLENE FAITHFINOP
REPPLE GLENN ALLENJTENT WITH JOANIE S. REPPLE; MAJORITY STOCKHOLDER; PRESIDENT, GEN SEC PRINCIPAL
ALBANO SANDRA JEANCHIEF COMPLIANCE OFFICER; COMPLIANCE OFFICER; FIN & OPER PRINCIPAL
REPPLE JOAN SANDRAJTENT WITH GLENN A. REPPLE
MOYER TIMOTHY GLENNCCO; COO
MCQUEEN KATHLEEN ANNECHIEF COMPLIANCE OFFICER; COO
BEYTELL PHILIP LAURIECHIEF COMPLIANCE OFFICER; COO; FIN & OPER PRINCIPAL
VAN STADEN PHILIPPUS THEUNISCEO
HARRIS KEVIN ANDREFINOP

Disclosures (14)

InitiatedTypeAllegationsStatusAmount
2023-01-26regulatoryON SEPTEMBER 30, 2024, G. A. REPPLE & COMPANY (GAR) CONSENTED TO AN SEC ORDER REGARDING GAR'S NON-COMPLIANCE TO PROVIDE FULL AND FAIR DISCLOSURE IN CONNECTION WITH ITS RECEIPT OF THIRD-PARTY COMPENSATION BASED ON ADVISORY CLIENT INVESTMENTS. IN PARTICULAR, DURING THE RELEVANT PERIOD, G.A. REPPLE REC…Final$550K
2018-07-24regulatoryALLEGES G.A. REPPLE FAILED TO REASONABLY SUPERVISE ITS AGENT, ALAN SIEGEL, IN CONNECTION WITH FALSE INFORMATION POSTED TO HIS WEBSITEFinal$25K
2011-05-16regulatoryIN 2011, G.A. REPPLE & COMPANY AND GLENN REPPLE PROVIDED MATERIALLY INCORRECT AND UNTRUE INFORMATION WITHIN THE MEANING OF SECTION 2110(A)(2) OF THE INSURANCE LAW ON THE RENEWAL APPLICATION FOR AN AGENT'S LICENSE BY FAILING TO DISCLOSE ADMINISTRATIVE ACTIONS, IMPOSITION OF MONETARY PENALTIES AGAINST…Final$3K
2010-10-21regulatoryG.A. REPPLE & COMPANY FAILED TO TIMELY REPORT WITHIN 30 DAYS OF THE HAPPENING OF VARIOUS EVENTS, INCLUDING THE IMPOSITION OF A MONETARY FINE BY ANY OTHER STATE OR ANY VIOLATION OF THE INSURANCE OR RELATED LAWS OF THAT STATE AS REQUIRED BY RULE 482-1-054-.03 WITHIN ALABAMA INSURANCE REGULATION. IN AD…Final$300
2010-09-08regulatoryG.A. REPPLE & COMPANY FAILED TO REPORT TO THE INSURANCE COMMISSIONER ANY ADMINISTRATIVE ACTION TAKEN AGAINST IT IN ANOTHER JURISDICTION OR BY ANOTHER GOVERNMENTAL AGENCY WITHIN 30 DAYS OF FINAL DISPOSITION AS REQUIRED BY 18 DEL.C. &1719(A).Final$250
2007-03-27regulatoryFINRA ALLEGES THAT THE FIRM'S SYSTEM OF EMAIL MONITORING AND STORAGE DID NOT COMPLY WITH SEC RULE 17A-4 AND THAT WRITTEN SUPERVISORY PROCEDURES WERE INADEQUATE TO ASSURE COMPLIANCE.Final$25K
2006-01-06regulatoryFIRM'S WSP CALL FOR ALL OSJ OFFICES TO BE INSPECTED ANNUALLY. FIRM MISSED INSPECTING OFFICES IN 2003& 2004. FIRM ALSO FAILED TO REQUIRE CERTAIN REPRESENTATIVES TO ATTEND AN ANNUAL COMPLIANCE SESSION.Final$5K

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