Registered Investment Advisor licensed in Oregon and Washington. Prior to doing business in any other jurisdiction, the firm will ensure all licensing requirements or exemptions from licensing are met.
YOUR TRUSTED FINANCIAL ADVISOR!
Established in 1989, Liberty Capital continues to be successful, because we listen to our clients’ needs. We assist you in selecting qualified, practical investments that are suitable for meeting your goals and objectives. These goals can change over time and Liberty Capital professionals are here to offer sound advice for your long-term plans.
When choosing Liberty Capital, whether you are a first-time or established investor, you are collaborating with an
independently-owned, local company that is experienced, professional and successful at taking care of clients! With an average of almost 30 years’ experience per broker, the team at Liberty Capital is here to help with the
best advice for the most complicated situations. A friendly and approachable staff of brokers supports all the clients of Liberty Capital like family—looking out for your best interests.
Why Chose Liberty Capital?
Established in 1989, Liberty Capital continues to be successful, because we listen to each client’s needs. We assist you in selecting qualified, practical investments that are suitable in meeting your goals and objectives. These goals can change over time and Liberty Capital professionals are here to offer advice for your long-term plans.
You are Invited to join the family
Whether you are an established investor seeking change or a novice wanting to know more about investing, Liberty Capital is committed to providing you cost-competitive, responsive, and personal services not commonly found with larger firms. We invite you to contact us for a free consultation. Parking is validated and is conveniently located in the lower level of our building.
Liberty Capital Investment Corporation, located in downtown Portland, Oregon, was created in 1989 by our
founder and still primary principal, Gary Purpura, senior financial consultant and primary principal. Gary manages the company with the focus on the client,
respecting the relationship between the representative and their client, and providing the representative with the
tools and the freedom to be successful while enjoying their business. You can look up Liberty Capital and our
financial consultants on www.FINRA.org/Brokercheck. In our more than 30 years of doing business we have never had to report to FINRA an arbitration award or any disciplinary actions against our firm or our
Hilltop Securities Correspondent Clearing
Hilltop Securities is a unique blend of financial strength, deep industry knowledge, and years of experience. The firm was born out of the fusion of two respected and successful firms with complementary business lines: First Southwest Company, a broker-dealer founded in 1946 and known for its municipal advisory practice, and Southwest Securities Inc., a full-service broker dealer since 1972. As part of Hilltop Holdings, a well-capitalized and publicly traded parent company, Hilltop Securities is backed by a strong and diverse financial services enterprise. You can visit their website at: https://www.hilltopsecurities.com/
Disclaimer: Liberty Capital Investment is not registered in all states. Please contact our company for further details.
Discover Our Expertise
Clients trust the investment advice they receive and are pleased with the results at Liberty Capital. It shows with the many referrals of friends and family members to the company by our current clients. Easy-to-read monthly statements keep you informed about your investments. Your personal broker is only a local phone call away!
Risk of Investing
At Liberty Capital Investments we strive to help our clients reach their investment goals. But investments of any type involve risk. Past performance, including ours, can be no assurance that future results will not involve loss of invested capital. Please consider this carefully before investing.
Liberty Capital has a vast array of investment products and services to choose from. You can select from:
Certificates of Deposit
IRAs (Traditional, Roth, Simple, SEP, 401k)
Money Market Funds
Tax Free Bonds
Health Savings Accounts
Education Savings Accounts
Non-Retirement (Trust, Joint, individual, UGMA/UTMA)
Secure Your Future
Your representative, with the aid of our professional staff, will comfortably guide you through the investing process. Liberty Capital engages the services of Hilltop Securities to perform clearing functions for the firm. These include transaction processing, production of trade confirmations and monthly statements, posting of dividend and interest payments, and security safekeeping. Your account is covered by SIPC insurance, which protects securities customers of its members up to $500,000 (including $250,000 for claims of cash). An explanatory brochure is available upon request at www.sipc.org. Your account is additionally covered by third party insurance for up to $25 million (subject to an aggregate limit). There is no annual IRA fee for your account and interest is paid on all credit balances over $1,000.