InvestorsThe support we provide to our Financial Professionals enhances the service they provide to you, their clients.
Thank you for your interest in our firm. Securities Service Network, LLC. is a leading wealth management firm (WMF) and we take great pride in serving the unique needs of financial professionals throughout the country. Both the leadership and staff of our firm are committed to delivering exceptional service and insightful financial guidance for the ultimate benefit of clients like you.
Securities Service Network, LLC. is a wholly-owned subsidiary of Advisor Group. As a full service WMF, Securities Service Network, LLC is registered with FINRA and is licensed to conduct securities business in all fifty states. We were founded in 1983 for the purpose of providing back-office support services, timesaving technologies, valuable counsel and a broad selection of non-proprietary products to a national network of dedicated financial professionals.
Whether you are planning for retirement, a child’s college education, a second home or a new business opportunity, a professional from Securities Service Network, LLC can assist in planning towards your financial goals. We look forward to servicing your account and earning your confidence.
The Leadership & Staff of Securities Service Network, LLC
*Securities Service Network, LLC (“SSN”) is a member of the Financial Industry Regulatory Authority (FINRA) and the Securities Investor Protection Corporation (SIPC). FINRA’s homepage is, www.finra.org and Securities Investor Protection Corporation’s homepage is, www.sipc.org.
Whether you need to invest for retirement, your child’s education or that dream vacation, look to a financial professional from Securities Service Network to help you reach your financial goals. When you work with a financial professional, you can rest assured that the advice and guidance you receive is based on what’s best for YOU, and not because your professional is hindered by a limited range of products or a corporate mandate dictating what they can sell or do.
Investing Clients Resources
Retirement Plan Information
Commissions & Trail Commissions – Details of commissions and/or trail commissions may vary by product and/or share class. Offering documents (e.g. prospectuses, summary prospectuses, etc.) are provided to you prior to or at the time of investment in the specific investment (as applicable). Before you invest in any Fund, please refer to the statutory prospectus and/or summary prospectus for important information about the investment, including investment objectives, risks, charges and expenses. You may also obtain a hard copy of the prospectus by contacting your finanical professional, the investment company or by visiting the investment companies’ website. The prospectus should be read and considered carefully before you invest or send money.
The Bank Deposit Sweep Program and Insured Cash Account Program are core account investment vehicles used to hold your cash balance while awaiting reinvestment. The cash balance in your Brokerage Account(s) will be automatically deposited or “swept” into an interest-bearing FDIC-insured Program deposit account.
For more information regarding disclosures for the above information please click on the link below to see our disclosures page.