Wealth Management and Financial Planning Opportunities for Individuals, Corporations, and Financial Institutions Since 1979

State Securities & Insurance laws require that your Investment Professional be registered in the state in which you are a resident.
Below is the current registration information for Investment Professionals near you as of :
Thursday, May 17, 2012

Please select an Investment Professional within your state of residence.

 
1. Gary C Cooper
President
219 W Emmitt Ave
Waverly OH, 45690
Distance: 0.00 Miles
Phone: +(740) 947 - 7798
 
Gary C Cooper is licensed to sell and/or discuss securities products only to residents of the states listed below:

Ohio

Gary C Cooper is licensed as an Investment Advisor Representative (IAR) and is licensed to sell and/or discuss Advisory Services & Products with anyone residing within the United States. IAR registration is in:

Ohio

Gary C Cooper is licensed to sell and/or discuss insurance products only to residents of the states listed below:

Kentucky, Ohio

Select Gary C Cooper

2. William Henderson CEP
Associate
219 W Emmitt Ave
Waverly OH, 45690
Distance: 0.00 Miles
Phone: +(740) 947 - 7798
 
William Henderson CEP is licensed to sell and/or discuss securities products only to residents of the states listed below:

Ohio

William Henderson CEP is licensed as an Investment Advisor Representative (IAR) and is licensed to sell and/or discuss Advisory Services & Products with anyone residing within the United States. IAR registration is in:

Ohio

William Henderson CEP is licensed to sell and/or discuss insurance products only to residents of the states listed below:

Ohio

Select William Henderson

3. Craig Sutherland RFC®
President
20 Northwoods Blvd, Suite E
Columbus OH, 43235
Distance: 68.84 Miles
Phone: +(614) 841 - 9650
 
Craig Sutherland RFC® is licensed to sell and/or discuss securities products only to residents of the states listed below:

Florida, Kentucky, Michigan, Missouri, Nevada, Ohio, Texas

Craig Sutherland RFC® is licensed as an Investment Advisor Representative (IAR) and is licensed to sell and/or discuss Advisory Services & Products with anyone residing within the United States. IAR registration is in:

Ohio

Craig Sutherland RFC® is licensed to sell and/or discuss insurance products only to residents of the states listed below:

Ohio

Select Craig Sutherland

4. Jason Gaylor
Associate
20 Northwoods Blvd, Suite E
Columbus OH, 43235
Distance: 68.84 Miles
Phone: +(614) 841 - 9650
 
Jason Gaylor is licensed to sell and/or discuss securities products only to residents of the states listed below:

Ohio, Tennessee

Jason Gaylor is licensed as an Investment Advisor Representative (IAR) and is licensed to sell and/or discuss Advisory Services & Products with anyone residing within the United States. IAR registration is in:

Ohio

Select Jason Gaylor

5. Zenobia Seward ChFC, RFC®
Senior Associate
20 Northwoods Blvd, Suite E
Columbus OH, 43235
Distance: 68.84 Miles
Phone: +(614) 841 - 9650
 
Zenobia Seward ChFC, RFC® is licensed to sell and/or discuss securities products only to residents of the states listed below:

Maryland, New Jersey, Ohio, Pennsylvania, South Carolina, Virginia

Zenobia Seward ChFC, RFC® is licensed as an Investment Advisor Representative (IAR) and is licensed to sell and/or discuss Advisory Services & Products with anyone residing within the United States. IAR registration is in:

Ohio

Zenobia Seward ChFC, RFC® is licensed to sell and/or discuss insurance products only to residents of the states listed below:

Ohio

Select Zenobia Seward

 

 

 

 

 

 

 

Retired Couple Enjoying Picnic

Important Investing Information: Not all investments and services mentioned are available in every state. Money Concepts financial advisors are restricted to conduct business only with residents of a state and/or jurisdiction for which they are properly registered.    When investing from outside of the United States, you are subject to the securities and tax regulations governing your jurisdiction. Please contact us directly for detailed information about investment regulations outside of the United States.

Wealth Management and Financial Planning Opportunities for Individuals, Corporations, and Financial Institutions Since 1979