The companies selected
exceed the criteria below:
Fee-Only or Fee-Based
RIA or IAR
No Unresolved Lawsuits or Grievances
Advanced Certifications Held
Comprehensive Range of Wealth Management and Financial Planning Services Offered
15+ Years of Industry Experience
Securities offered through First Allied Securities, Inc., a registered broker/dealer and member of FINRA/SIPC.
Securities and Investment Advisory Services offered through Woodbury Financial Services, Inc., Member FINRA, SIPC and Registered Investment Advisor. Stafford Wealth Management, LLC. and Woodbury Financial Services, Inc. are not affiliated entities.
Securities offered through Raymond James Financial Services, Inc. member FINRA/SIPC. John Moore & Associates, inc. is independent of Raymond James Financial Services.
Securities offered through LPL Financial, Member FINRA/SIPC.
Investment Advisory Services Offered Through Brookstone Capital Management LLC, An SEC Registered Investment Advisor.
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