Cetera Investment Services LLC (doing insurance business in CA as CFG STC Insurance Agency LLC), headquartered in Saint Cloud, Minnesota, is a national, full-service registered securities brokerage firm, member of the SIPC (Securities Investor Protection Corporation) and is a FINRA registered securities broker-dealer registered in all 50 states. Its affiliate, Cetera Investment Advisers LLC is an SEC registered investment adviser registered in all 50 states. This website is published in the United States for residents of the United States. Products and services mentioned in this website may not be available in all states. To request a prospectus or information, contact your investment professional. Cetera Investment Services is not soliciting business in international jurisdictions where it is not registered.
If you would like further information about Cetera Investment Services, please contact us. Cetera Investment Services looks forward to assisting you.
The information and opinions on this site provided by third parties have been obtained from sources believed to be reliable, but accuracy and completeness cannot be guaranteed. Third party information and opinion is given for informational purposes only and is not a solicitation to buy or sell. The information is not intended to be used as the primary basis for investment decisions, nor should it be considered as advice designed to meet the specific needs of an individual investor. Please seek the advice of professionals, as appropriate, regarding the evaluation of any specific information, opinion, advice, or other content.
Individuals affiliated with Cetera Investment Services are either registered representatives who offer only brokerage services and receive transaction-based compensation (commissions), investment adviser representatives affiliated with Cetera Investment Advisers who offer only investment advisory services and receive fees based on assets, or both registered representatives and investment adviser representatives, who can offer both types of services and are affiliated with both firms. Information about Cetera Investment Advisers’ investment advisory services and the compensation it receives for such services can be obtained by asking a representative for a copy of Cetera Investment Advisers’ disclosure brochure or Form ADV Part 2. .
CETERA INVESTMENT SERVICES LLC OR ITS AFFILIATES OR DIVISIONS ARE NOT BANKS OR CREDIT UNIONS, AND THE PRODUCTS WE OFFER ARE NOT FEDERALLY GUARANTEED OR FDIC INSURED, ARE NOT DEPOSITS OR OBLIGATIONS OF, OR GUARANTEED BY, A FINANCIAL INSTITUTION, AND INVOLVE RISKS INCLUDING POSSIBLE LOSS OF PRINCIPAL AND FLUCTUATION IN VALUE.
Linked sites are not under the control of Cetera Investment Services and Cetera Investment Services is not responsible for the contents of any linked site or any link contained in a linked site, or any changes or updates to such sites. Linked sites may contain rules and regulations, privacy provisions, confidentiality provisions, transmission of personal data provisions, and other provisions that differ from the provisions of this website.
For information on Cetera Investment Services’ routing of nondirected orders in equity and option securities, please refer to the following link: Rule 606 Order Routing Disclosure
Securities offered through Cetera Investment Services LLC, member FINRA/SIPC.