Data sourced from FINRA BrokerCheck public records. Disclosures reflect reported events, not proven violations. Verify at BrokerCheck ↗

FINRA BrokerCheck SEC IAPD verified CRD# 42072 Grade C

Haywood Securities (USA) Inc. — FINRA BrokerCheck Disciplinary Record

Corporation. 0 branch offices, 3 BrokerCheck disclosures.

Haywood Securities (USA) Inc. registration status — ACTIVE

Status100%ActiveTerminatedSuspendedCancelled
Haywood Securities (USA) Inc. registration status — ACTIVE

The verdict

Haywood Securities (USA) Inc. carries 3 BrokerCheck disclosures across 0 branch offices — heavy load for a single-office firm, earning a Grade C.

Grade C
Typical disclosure intensity for a firm of this size
0
branch offices (single-office firm)
3
BrokerCheck disclosures
3
regulatory actions

PlainAdvisorCheck rating 3/5 — an editorial, size-normalized signal, not a regulatory determination. Always verify the underlying record on FINRA BrokerCheck before engaging an advisor.

Branch offices

0 offices

FINRA: Small firm

Total disclosures

3 events

On FINRA BrokerCheck

Regulatory events

3 actions

100% of all disclosures

Disclosures per office

per office

footprint not reported

Disclosure Breakdown

Disclosure Type Count
Regulatory Events 3
Arbitrations 0
Civil Events 0
Total 3

Counts reflect events reported on FINRA BrokerCheck. Disclosures are reported events, not proven violations. Verify at BrokerCheck ↗

Disclosure category share

Regulatory 3 Arbitration 0 Civil 0

Disclosure Profile

Haywood Securities (USA) Inc.'s disclosure record, broken down by category and footprint.

Disclosures per office
Heavy load
Regulatory share
100%
of total disclosures
Size class
Single-office firm
0 branches

Firm Details

Firm Size
Small
Scope
ACTIVE
Location
Vancouver, Bc, V6C 3L6
Formed
09/20/1996
CRD Number
42072
SEC Number
49696

Verify at FINRA BrokerCheck

FINRA BrokerCheck provides the full official disciplinary record, including individual registered advisors. Always verify before hiring a financial advisor.

View on FINRA BrokerCheck ↗

What the Record Says About Haywood Securities (USA) Inc.

Haywood Securities (USA) Inc. (Corporation, CRD# 42072 · SEC# 49696) operates 0 branch offices — a single-office firm (FINRA: small), scope ACTIVE.

BrokerCheck shows 3 disclosures: 3 regulatory, 0 arbitration, 0 civil. Letter grade C (3/5 internal scoring). Verify on FINRA BrokerCheck ↗ · how disclosures are interpreted.

Every firm registered with FINRA or the SEC must report regulatory actions, customer complaints, arbitrations, and civil judicial events on its public BrokerCheck and Form ADV records. A disclosure is not automatically a finding of wrongdoing — it can range from a settled customer dispute to a formal regulatory sanction — but a heavy disclosure load relative to a firm's size is a signal worth examining before you hire. Because larger firms naturally accumulate more disclosures across more offices, PlainAdvisorCheck grades each firm against same-size peers rather than on raw counts. Read each disclosure's underlying detail on the official record rather than relying on the headline number alone. Registration itself confirms only that a firm is authorized to do business, not that its compliance history is clean.

Source: FINRA BrokerCheck & SEC IAPD Public Disclosure Data FINRA BrokerCheck & SEC IAPD Public Disclosure Data

Frequently Asked Questions

What does a grade of C mean for Haywood Securities (USA) Inc.?
A grade of C reflects Haywood Securities (USA) Inc.'s disclosure intensity — its weighted disclosure load per branch office — ranked against other firms of a similar size (single-office firm). It carries 3 total disclosures across 0 branch offices. Review the specific disclosures on FINRA BrokerCheck before engaging.
How many FINRA disclosures does Haywood Securities (USA) Inc. have?
Haywood Securities (USA) Inc. has 3 total FINRA disclosures, including 3 regulatory events. Disclosures reflect reported events on FINRA BrokerCheck and do not necessarily indicate proven violations.
How big is Haywood Securities (USA) Inc.?
Haywood Securities (USA) Inc. 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 Haywood Securities (USA) Inc.'s disciplinary record?
You can verify Haywood Securities (USA) Inc.'s full disciplinary history on FINRA BrokerCheck at brokercheck.finra.org using CRD number 42072. 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.
Should I avoid Haywood Securities (USA) Inc. because of its disclosures?
Not necessarily. Larger firms accumulate more disclosures simply because they operate more offices, so PlainAdvisorCheck grades each firm against same-size peers rather than on raw counts. Haywood Securities (USA) Inc. carries 3 disclosures across 0 branch offices (about 3.00 per office). Review the nature of individual disclosures on FINRA BrokerCheck before making a decision.

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Data sourced from official FINRA BrokerCheck and SEC EDGAR enforcement records. See our methodology for details. Retrieved and formatted by PlainAdvisorCheck Editorial