Close Menu
Free Consultation: 888-976-6111

Christy Lambert: Bridge Wealth Advisor Faced Bond Complaint

A recent, denied investor complaint against Columbus, Ohio financial advisor Christy Lambert (CRD# 1919326) alleged that her advice resulted in losses. Financial Industry Regulatory Authority records show that she is registered as a broker and an investment advisor with Wells Fargo Advisors.

Ms. Lambert’s BrokerCheck report discloses two investor complaints. The most recent, filed in July 2025, alleged that as a representative of Wells Fargo, she recommended an corporate bond investment that resulted in a loss. The complaint alleged damages of $37,062.79 and was denied by the firm. (When a complaint is denied, for reference, this is not necessarily mean it has no basis in fact. Customers can still pursue other actions, like FINRA arbitration claims.)

An earlier investor complaint, filed in 2009, alleged that as a representative of Fifth Third Securities, she misrepresented a corporate bond investment. In 2010 the complaint reached a settlement of $37,000.

The website for Bridge Wealth Partners, which offers securities through Wells Fargo, includes a profile of Ms. Lambert that describes her experience and services as a Senior Financial Advisor at the firm. As it explains, she brings decades of experience and focuses on building relationships with their clients as she works to help them reach their goals. More information on her is available via the firm’s website.

According to the Financial Industry Regulatory Authority, Christy Lambert holds 32 years of securities industry experience. Based in Columbus, Ohio, she has been registered as a broker and an investment advisor with Wells Fargo Advisors since 2022. Her past registrations include Huntington Financial Advisors, the Huntington Investment Company, US Bancorp Investments, Fifth Third Securities, and Banc One Securities Corporation. Her credentials include the passage of four securities industry qualifying exams: the Securities Industry Essentials Examination, or SIE; the Uniform Combined State Law Examination, or Series 66; the Uniform Securities Agent State Law Examination, or Series 63; and the General Securities Representative Examination, or Series 7. She is licensed in Alabama, Florida, Georgia, Indiana, Kentucky, Missouri, Ohio, Pennsylvania, and Tennessee. (Information current as of October 20, 2025.)

Carlson Law represents investors throughout the United States in claims against financial advisors and investment firms. If you or a loved one have suffered investment losses, please call us at 888-976-6111 or complete our contact form for a free and confidential consultation.

Facebook Twitter LinkedIn
Contact Us For A Free Case Evaluation
protected by reCAPTCHA Privacy - Terms
Latest Blog Posts
  • Rob Goff: FINRA Suspends, Fines Ex-Wells Fargo Advisor

    Former East Lansing, Michigan financial advisor Rob Goff (CRD# 4388671) was recently sanctioned and suspended in connection with alleged rule...

    Read More
  • Independence Capital Sanctioned over GWG L Bond Sales

    A recent disciplinary action against Parma, Ohio financial advisor Independence Capital (CRD# 24723) alleges that the firm violated industry rules...

    Read More
  • Hugo Hernandez: MML Advisor Barred by FINRA

    Former El Paso, Texas financial advisor Hugo Hernandez (CRD# 6446187) was recently sanctioned and barred in connection with alleged rule...

    Read More
  • Lyhen Fiallo: FINRA Bars Primerica Advisor

    Former Hialeah, Florida financial advisor Lyhen Fiallo (CRD# 4579582) was recently sanctioned and barred in connection with alleged rule violations....

    Read More
  • Previous
  • Next