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PEOPLE BEHIND THE PLAN

Stockbrokers & advisors.

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Historical records and sourced profiles. Confirm current credentials and services.

PeopleFirms63,615 historical records + sourced profiles

510 listed firms

Page 12 of 15

SF Investments, Inc.

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Sigma Financial Corporation

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Signature Estate Securities, Inc.

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Silver Oak Securities, Incorporated

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Snowden Account Services LLC

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Sogotrade, Inc.

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Sorrento Pacific Financial, LLC

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Southeast Investments, N.C., Inc.

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Southern Wealth Securities, LLC

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Southstate|DuncanWilliams Securities Corp.

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Sovereign Global Advisors LLC

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Spartan Capital Securities, LLC

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SpeedTrader, Inc

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Spencer-Winston Securities Corporation

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Spire Securities, LLC

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Sprott Global Resource Investments Ltd

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St. Bernard Financial Services, Inc.

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Stacey Braun Financial Services, Inc.

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Standard Chartered Securities North America LLC

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State Farm VP Management Corp.

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Stephens

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Steward Partners Investment Solutions, LLC

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Stifel Independent Advisors, LLC

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Stifel, Nicolaus & Company, Incorporated

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Stirlingshire Investments

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StockKings Capital LLC

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Stoever, Glass & Company Inc.

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Stonecrest Capital Markets, Inc.

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SunStreet Securities, LLC

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Supreme Alliance LLC

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SVB Investment Services Inc.

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SWBC Investment Services, LLC

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Sycamore Financial Group

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Symphonic Securities LLC

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Synovus Securities, Inc.

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T.R. Winston & Company, LLC

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Sources, ordering and what to verify

The directory currently includes 63,615 historical records. Its original as-of date is unknown; imported September 23, 2026. Historical firm, location, contact and license fields may be out of date. They do not establish current registration or availability.

Linked professional profiles appear first, alphabetically by name; historical records follow in source order. Fincadia and other firms use the same search filters. No placement is a recommendation or quality ranking. Confirmed matching CRD numbers are merged into the sourced profile; a name alone is not an identity match.

Use FINRA BrokerCheck and SEC IAPD to check the person, current firm, registrations and disclosures. A financial advisor may not offer brokerage or stock-trading services. Ask about the capacity in which they will serve you, fees, conflicts and Form CRS.

Listings do not imply that a professional participates in FOMO. Contact links go directly to the listed destination. Requests submitted to FOMO stay with the FOMO team unless you separately authorize an introduction. Site disclosures.

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Services & authority

Do you offer brokerage, ongoing investment advice, or both? Who makes trading decisions, and where are my assets held?

Costs & conflicts

What will I pay in total? Ask about commissions, advisory fees, product costs and any compensation tied to your choices.

Registration & fit

Check the exact person and legal firm in official records. Ask which states and services their registrations cover and review disclosures.