Securities are offered through FSC SECURITIES CORPORATION
http://www.fscorp.com/Profile1.html, member FINRA,SIPC. They
are not obligations of, or guaranteed by, FSC SECURITIES CORPORATION
or any other affiliated entity. Such investments will fluctuate
in value and are subject to investment risks, including loss
of principal. A Broker/dealer, investment advisor, BD agent
or IA representative may only transact business in as particular
state after licensure or satisfying qualification requirements
of that state, or only if they are excluded or exempted from
the state's broker/dealer, investment advisor, BD agent, or
IA rep that invlove either the effecting or attempting to
effect transactions in securities or the rendering of personal
investment advice for compensation as the case may be, shall
not be made without first complying with the state's broker/dealer,
investment advisor, BD agent or IA rep requirements, or pursuant
to an applicable state exemption or exclusion. For information
concerning the licensure status or disciplinary history of
a broker/dealer, investment advisor, BD agent or IA rep, a
consumer should contact his or her state securities law administrator.
We are licensed in the following states: Arizona, California,
Colorado, Delaware, District of Columbia, Florida, Georgia,
Massachusetts, Maryland, North Carolina, New Jersey, New York,
Ohio, Vermont, Virginia.
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