CRD #138524 · FINRA BrokerCheck + SEC IAPD

Chapwood Capital Investment Management, LLC

Chapwood Capital Investment Management, LLC has not yet been reviewed by PlainAdvisorCheck. Check FINRA BrokerCheck directly for its current disclosure record.

Not yet reviewed
Safety grade
0
branch offices

PlainAdvisorCheck rating n/a - an editorial, size-normalized signal, not a regulatory determination. Always verify the underlying record on FINRA BrokerCheck before engaging an advisor.

Data updated July 2026

Branch offices

0 offices

FINRA: Small firm

Total disclosures

0 events

On FINRA BrokerCheck

Regulatory events

0 actions

On FINRA BrokerCheck

Disclosures per office

- per office

footprint not reported

Firm Details

Firm Size
Small
CRD Number
138524

Mid-pack disclosure profile

What the record shows for Chapwood Capital Investment Management, LLC

Chapwood Capital Investment Management, LLC (broker-dealer, CRD# 138524) operates 0 branch offices with 0 disclosures as of July 2026.

Chapwood Capital Investment Management, LLC carries 0 disclosures across 0 offices (clean record, Grade N/A). Verify on FINRA BrokerCheck ↗ · how disclosures are interpreted.

Educational data summary for informational purposes - not financial advice. Review Chapwood Capital Investment Management, LLC's underlying FINRA BrokerCheck detail before engaging.

Source: FINRA BrokerCheck & SEC IAPD Public Disclosure Data

Frequently Asked Questions

What does a grade of N/A mean for Chapwood Capital Investment Management, LLC?
Chapwood Capital Investment Management, LLC has not yet been graded by PlainAdvisorCheck. Grades are size-normalized against FINRA BrokerCheck disclosure records once a firm's detail record has been reviewed -- check back soon, or view the live record on FINRA BrokerCheck.
How many FINRA disclosures does Chapwood Capital Investment Management, LLC have?
PlainAdvisorCheck has not yet pulled Chapwood Capital Investment Management, LLC's detailed disclosure record from FINRA BrokerCheck. View the live record directly on FINRA BrokerCheck at brokercheck.finra.org using CRD number 138524.
How big is Chapwood Capital Investment Management, LLC?
Chapwood Capital Investment Management, LLC operates 0 branch offices and is classified by FINRA as a small firm (Single-office firm). FINRA BrokerCheck publishes branch-office counts but not a firmwide registered-representative headcount, so PlainAdvisorCheck measures firm size by branch footprint.
Where can I verify Chapwood Capital Investment Management, LLC's disciplinary record?
You can verify Chapwood Capital Investment Management, LLC's full disciplinary history on FINRA BrokerCheck at brokercheck.finra.org using CRD number 138524. BrokerCheck provides detailed information about individual registered representatives, complaints, and regulatory actions.
What is a FINRA disclosure?
A FINRA disclosure is a reported event on a broker-dealer's record, including regulatory actions, customer complaints, arbitration proceedings, and civil court events. Disclosures are part of the public record maintained by FINRA and do not necessarily indicate wrongdoing or proven violations.

Read with this firm

  • 1-800 NO Loads, Inc. - 0.00 disclosures/office, nearest single-office firm peer to Chapwood Capital Investment Management, LLC's 0.00
  • 1031 Exchange Place, Inc. - 0.00 disclosures/office, nearest single-office firm peer to Chapwood Capital Investment Management, LLC's 0.00
  • 10X Securities - 0.00 disclosures/office, nearest single-office firm peer to Chapwood Capital Investment Management, LLC's 0.00
  • How to Vet a Financial Advisor - Due diligence checklist when reviewing a Grade N/A firm like Chapwood Capital Investment Management, LLC.
  • Reading BrokerCheck Reports - How Chapwood Capital Investment Management, LLC's 0.00 disclosures-per-office figure is derived.
  • Most Disclosures - Raw disclosure-volume leaders for context next to Chapwood Capital Investment Management, LLC.
  • Compare firms - put Chapwood Capital Investment Management, LLC next to peers on grade and footprint.
Retrieved and formatted by PlainAdvisorCheck from FINRA BrokerCheck public records.

Every figure on PlainAdvisorCheck is rendered directly from FINRA BrokerCheck and SEC IAPD disciplinary records, no number is typed in by an editor. This page draws directly on FINRA BrokerCheck and SEC IAPD data, no figure is typed in by an editor. See our editorial standards & corrections policy, the methodology behind these numbers, or report a data error. Data current as of July 2026.