
LPL Financial, Brad Weddle, CFP
a leading financial services provider and the largest independent broker/dealer in the U.S. It is committed to, without any ulterior motives from the company. The firm’s commitment to client success is further evidenced

LPL Financial - Loren Morrison
in the financial services industry and the biggest independent broker/dealer in the country. The company has been helping products, technology solutions, and portfolio management services. The firm also provides comprehensive operations support, compliance guidance, and

LPL Financial
financial services and support to independent financial advisors. It is the largest independent broker-dealer in the United States, and individuals can find a financial advisor through the firm. Our

Veber Partners
Veber Partners is an investment banking firm that provides specialized advice to business owners, investors . We are one of the few FINRA registered Broker-Dealers located in the Portland Metro area that provide

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

Philip E. Gable, P.C.
Our firm, Philip E. Gable, P.C., provides estate and ) and HD Vest Advisory Services (HDVAS) are registered broker-dealer and investment adviser, respectively. They are located at platform or its messaging systems. In addition, this firm does not provide tax or legal advice. If

Brown Smith Wallace
Brown Smith Wallace is a leading public accounting firm in the Midwest. They offer services that make services. Brown Smith Wallace serves many industries, including broker-dealers, captives, government, health care, insurance companies, not for

Creative Financial Partners
to help our clients achieve financial stability and independence through comprehensive financial planning, investments, banking and retirement work with Securities Service Network, Inc, a registered broker/dealer, which is a member of FINRA & SIPC.

Schulte Roth & Zabel LLP A Law Firm That Is Based In New York
. With more than 360 attorneys at the firm, its practice areas address its clients business , real estate, structured products and tax. The firm represents: Domestic and foreign public and private banks. Domestic money center and foreign commercial banks. Broker-dealers and investment advisors. It also serves: Private

Quinn Law Group
investment advisers, broker-dealers, and insurance producers. Our mission is to provide representation to these financial services firms and

Powell Financial Partners
Powell Financial Partners is an independent wealth management firm dedicated to providing financial advice and planning solutions. Advisor Networks LLC, member of FINRA, SIPC, a broker/dealer and a Registered Investment Advisor, provides securities and

Neill Insurance Brokers
Neill Insurance Brokers (NIB) is an independent insurance brokerage firm providing tailored personal and commercial lines coverage from

Shustak Reynolds & Partners
Shustak Reynolds & Partners, P.C., is a law firm that has been providing clients with quality advice areas include: securities litigation and arbitration, representation of broker-dealers, registered persons and investment advisers, SEC and FINRA

Fried Frank Harris An Independent Law Firm
, Frank, Harris, Shriver & Jacobson, established in 1971. An independent law firm with more than 600 attorneys worldwide. It various clients, including: Asset management and private equity firms, brokers, dealers. Hedge funds, family offices, high-net-worth individuals

Forman Law Firm
San Antonio Stock Broker Fraud Law Firm Forman Law Firm About Us Forman Law Firm represents individual and litigator at private law firms and as general counsel of several broker-dealers. Since 1991, he has also served as Chief Executive Officer of brokerage firms which

Berliner McDonald PC
McDonald P.C. is an aggressive, innovative law firm dedicated to offering top-tier legal services at extensive experience with securities litigation, including arbitration of broker-dealer disputes, and securities regulatory defense (SEC, FINRA and

Peter Shannon & Co
Peter Shannon & Co is a financial services firm providing its clients with professional advice and assistance including construction, medical, manufacturing, transportation, real estate, retail, broker dealers, HUD projects, 401k plan audits, and more. With

Convex Legal
a firm specialized in securities law, providing services to small and medium-sized businesses seeking capital, Broker-Dealers requiring

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

Atterbury Investment Management
advisory services through PlanMember Securities Corporation, a registered broker/dealer, investment advisor and member FINRA/SIPC. 6187 Carpinteria Investment Management, Inc and PlanMember Securities Corporation are independently owned and operated. PlanMember is not responsible or