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Centennial Life Insurance Agents
Cirrus Financial Group
6855 S. Havana St. #270
Centennial, CO 80112
Advisor Profile
Name:  Lee Claymore, CFP®
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Business Description

Helping clients and companies to achieve their financial goals through common sense planning for their future and wise implementation of those plans. The goal is not to achieve superior investment returns in the good times, but to manage risk to weather the tough times.

Sammons Securities Company, LLC is an independent, privately-owned, full-service broker/dealer that offers a comprehensive financial services platform with an individualized focus on our financial professionals. Through a broad array of products, services and technology, our reps have the flexibility to choose the right tools that will work for them today and help them in growing their financial services practices. We want to win long term and build something that lasts with our financial professionals.
 

General Information

Gender:    Male
CRD#:    2087567
Firm CRD#:    115368
Insurance License#:    8498
Name of Broker/Dealer:    Sammons Securities Corp.
States Licensed in:    CO,OR,SD
Years of Experience in Financial Services:    19
Number of Years with Current Firm:    16
I work with the following types of clients:    Individual Investors, Investment Clubs, Businesses, Non-Profit Organizations
 

Services

Investment Types:    Exchange Traded Funds (ETFs), Bonds, Stocks, Annuities, Insurance, Commodities, Mutual Funds, Alternative Investments, Mortgages & Real Estate, Socially Responsible Investments (SRI)
 

Qualifications & Memberships

Certifications, Accreditations & Designations:    CERTIFIED FINANCIAL PLANNER™ Certificant
Securities Licenses:    Series 63, Series 7
Insurance and Annuity Licenses:    Disability, Long Term Care, Variable Annuity, Life, Variable Life, Annuity, Health
Financial Organization Memberships:    Financial Planning Association (FPA)
 

Firm Information

Number of Advisors in Office:    Up to 10 employees
I work with clients as part of a team:    Yes
Firm's Number of Clients:    1500
Firm's Number of Planning Clients:    500
Firm's Number of Managed Clients:    1000
Advisor's Number of Clients:    300
Advisor's Number of Managed Clients:    100
Advisor's Number of Planning Clients:    50
Assets Managed by Advisor:    $10,000,000
 

Compliance

Registered Representative:    Yes
Investment Advisor Representative:    Yes
Compliance Disclosures in Last 5 years:    I have a clean record
Criminal Disclosures in Last 5 years:    I have a clean record
 

Compensation & Fees

I am a fee-based financial professional:    Yes
Minimum Portfolio Size for New Managed Accounts:    $100,000
Compensation Methods:    Based on Assets, Hourly, Commissions
Fee % Based on Assets:    Varies
Hourly Rate:    $200
Minimum Fee Charged for Hourly Planning Accounts:    $300
 
 
 
Prepared By: Lee Claymore, CFP®
 
 
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