BACKGROUND
Randy has been a Financial Representative in the industry since 1984, joining Northland Securities in 2002. He provides municipal bonds, mutual funds, REITs, and other tax-advantaged investments to individual clients, assisting them in accomplishing their financial goals.
EDUCATION
He received his B.A. degree in Finance from Arizona State University.
PROFESSIONAL LICENSES/REGISTRATIONS
Randy holds and maintains the FINRA Series 7 General Securities Representative and Series 63 Uniform Securities State Law Exam (Minnesota) registrations.
NORTHLAND WEALTH MANAGEMENT
Northland Wealth Management is a division of Northland Securities, Inc., Member FINRA and SIPC, Registered with SEC and MSRB, a diversified financial services firm, which includes investment banking, public finance, and full-service broker-dealer divisions, offering investment and finance services for government entities, financial institutions, non-profit organizations, and individual investors.
Wealth Management Investment Representatives work closely with clients to determine and deliver the appropriate solutions to meet their financial needs according to their individual investment profile and situation. Northland is also a SEC Registered Investment Adviser (RIA) - Northland Asset Management - and Investment Adviser Representatives (IARs or Financial Advisors) can offer numerous advisory products and services, including a wide selection of third-party money managers, and fee for financial planning services.
Registration does not imply a certain level of skill or training.