
Veber Partners
financial decisions. We are one of the few FINRA registered Broker-Dealers located in the Portland Metro area that

Gunter Financial Services
standard. Gunter Financial Services is not a registered broker/dealer and is independent of Raymond James Financial Services

Growthink
Pictures, and the Salvation Army. - Through our FINRA / SIPC - licensed broker-dealer subsidiary, completed private placement and business sale

Treece Financial Group
and investment advice through Cetera Advisors LLC, a broker/dealer and Registered Investment Adviser. Our experienced team is

Brown Smith Wallace
services. Brown Smith Wallace serves many industries, including broker-dealers, captives, government, health care, insurance companies, not for

Creative Financial Partners
work with Securities Service Network, Inc, a registered broker/dealer, which is a member of FINRA & SIPC.

Bridge Capital Associates
Capital Associates has been helping clients meet their broker/dealer and registered investment advisor compliance requirements. Our team

Schulte Roth & Zabel LLP A Law Firm That Is Based In New York
banks. Domestic money center and foreign commercial banks. Broker-dealers and investment advisors. It also serves: Private investment

Signature Bank
Signature Financial LLC. Signature Securities is a licensed broker dealer and investment adviser. Signature Bank is a Member

Quinn Law Group
offers legal and compliance services to investment advisers, broker-dealers, and insurance producers. Our mission is to provide

Chrysalis Capital Group
Chrysalis Capital Group is a FINRA-registered investment banking firm and broker/dealer, with expertise in the purchase and sale

Powell Financial Partners
them. Cetera Advisor Networks LLC, member of FINRA, SIPC, a broker/dealer and a Registered Investment Advisor, provides securities

Philip E. Gable, P.C.
) and HD Vest Advisory Services (HDVAS) are registered broker-dealer and investment adviser, respectively. They are located at

Shustak Reynolds & Partners
areas include: securities litigation and arbitration, representation of broker-dealers, registered persons and investment advisers, SEC and FINRA

Herskovits A Team Of Experienced And Talented Securities Lawyers
. As litigation and regulatory enforcement attorneys, we represent broker-dealers, financial institutions, and advisors in a variety of

Pacific Maritime Title vessel titling, documentation, settlement services
answer to the needs of Northwest buyers, sellers, brokers, dealers, lenders and attorneys.

Berliner McDonald PC
extensive experience with securities litigation, including arbitration of broker-dealer disputes, and securities regulatory defense (SEC, FINRA and

Peter Shannon & Co
including construction, medical, manufacturing, transportation, real estate, retail, broker dealers, HUD projects, 401k plan audits, and more. With

Convex Legal
to small and medium-sized businesses seeking capital, Broker-Dealers requiring compliance with SEC and SRO regulations, and

LPL Financial, Brad Weddle, CFP
leading financial services provider and the largest independent broker/dealer in the U.S. It is committed to