You deserve a broker-dealer with a business model designed to bring you success, a suite of resources to make your job easier, and customer service from real people who care about you and your business. Are you getting all that?
We created an outline of what the first year with Gradient could look like, and what a difference it can make.Learn More
Our continued success is a result of our partnership with independent financial services professionals. Out of more than 3,600 FINRA-regulated broker-dealers, Gradient Securities was ranked No. 62 in Financial Advisor Magazine’s 2019 broker-dealer ranking. And it’s the fifth straight year we’ve made the magazine’s list.
Through Gradient Securities, you can offer your clients equities, debt securities, mutual funds, variable annuities, variable life insurance, alternative investments like non-traded and publicly-traded REITs, managed accounts, personal and business banking solutions, and 529 plans.
Plus, Gradient Securities is a member of the Gradient Financial Group, which provides a wide array of resources and support for all your financial practice needs.
FINRA. SEC. MSRB. SIPC. We have the letters covered.
Gradient Securities, LLC is an independent, full-service FINRA-registered broker-dealer and SEC-registered investment advisor that offers investment advisory services under the DBA of Gradient Wealth Management. Gradient Securities is also a member of the Municipal Securities Rulemaking Board (MSRB) and Securities Investor Protection Corporation (SIPC).
Not all producers and broker-dealers are the right fit. We place our focus on helping our producers feel confident that they’re running their businesses the best way they can.
Are you curious what an affiliation with Gradient might look like? We created an outline of what the first year with Gradient could look like, and what a difference it can make.
Please provide your information to download the What a Difference a Year Makes guide.
Gradient Securities, LLC is a member of the Gradient Financial Group, which offers and provides a wide array of resources and support to financial services professionals. Gradient Financial Group, LLC provides services to the Member firms comprising the Gradient Financial Group, but it does not directly or indirectly control the management, policies, or business operations of any of the Member firms, which are each separate, distinct, and independent entities. Securities offered through Gradient Securities, LLC (Arden Hills, MN 866-991-1539). Member FINRA/SIPC. Investment advisory services offered through Gradient Securities, LLC DBA Gradient Wealth Management (Arden Hills, MN 866-991-1539), a SEC Registered Investment Advisor. Check the background of this firm on FINRA BrokerCheck.
For financial services professionals use only – not intended for public use.
© 2020 All Rights Reserved.