Loading listings...
Loading listings...
Is this your business?
Claim your free profile to update your info, respond to reviews, and start getting leads from clients searching for financial_advisor professionals in Evergreen.
We verify your phone before sharing it — no spam.
Cari Anne Smith is a financial_advisor professional located in Evergreen, CO. They specialize in financial advisory. With over 21 years of experience, they bring deep expertise to every client.
Cari Anne Smith - Lpl Financial Llc holds an active professional license (FINRA CRD) for your protection.
Looking for a financial_advisor professional in Evergreen, CO? Contact Cari Anne Smith to discuss your needs and schedule a consultation. Compare ratings and reviews to find the right professional for you.
How much does financial_advisor cost in Evergreen, CO?
View 2026 pricing guide with cost breakdowns and local data
Ready to get started?
Compare professionals in your area to find the best fit.
Get a free, no-obligation quote. It takes less than a minute and Cari Anne Smith - Lpl Financial Llc will respond directly.
Cari Anne Smith operates as a financial advisor through LPL Financial LLC in Evergreen, Colorado. With 21 years in the financial services industry, Smith brings substantial experience to client relationships. The business is registered with FINRA under CRD license number 2690643, which establishes regulatory standing in the securities and investment advisory space. Smith works within the framework of LPL Financial, one of the largest independent broker-dealer and registered investment advisor platforms in the country.
A FINRA CRD registration means this advisor is registered with the Financial Industry Regulatory Authority and operates under FINRA's regulatory oversight. The CRD (Central Registration Depository) number is the official identifier for registered representatives and advisors in the securities industry. This registration indicates the advisor meets baseline compliance and qualification standards set by FINRA and is subject to ongoing regulatory monitoring, examinations, and enforcement actions. It signals the advisor is authorized to conduct securities and investment advisory business within defined parameters.