Disclaimer


DISCLAIMER




Privacy

At Rickstar Financial protecting our clients' privacy is paramount. We recognize that an individual's financial matters are extremely private and sensitive in nature, and we have adopted policies that enable us to protect your privacy and, at the same time, provide you with a broad range of high quality financial products and services.

Your Privacy Is Not for Sale

Under no circumstances whatsoever will Rickstar Financial sell your personal information to anyone, for any reason, at any time.

This website should not be deemed as an offer or solicitation in states where the registered representative(s)/investment advisor(s) is not registered to provide services. This communication is strictly intended for investors residing in the following states: AZ, CO, FL, GA, IL, LA, MI, MN, NJ, OH, OK, PA, TX, VA, WA, WI. Specific recommendations can only be based on review of a number of suitability factors including but not limited to the investors financial profile, investment objectives, and risk tolerance and the investors review of appropriate offering documents. Past performance is not guarantee of future results.

Rickstar does not provide tax advice. Clients should consult a professional tax adviser for tax advice needs.

Guarantees and protections are subject to the claims-paying ability of the insurance company.

The information provided in the links and tools are provided as a courtesy and are for informational purposes only. When you link to any of the websites, you are leaving this site and are doing so at your own risk. The content to which you link have not been reviewed by NSC and do not warrant or make any representation regarding the use of the results of the materials in those sites in terms of their correctness, accuracy or reliability.

Securities licensed in: AZ, CO, FL, GA, IL, LA, MI, MN, NJ, OH, OK, PA, TX, VA, WA, WI. Investment Adviser Representative in MI. Insurance licensed in MI.

Securities offered through Newbridge Securities Corporation, member FINRA/SIPC and investment advisory services offered through Newbridge Financial Services Group, Inc, an SEC Registered Investment Adviser.

Newbridge Securities Corporation clears its securities transactions on a fully disclosed basis through Axos Clearing LLC. Axos Clearing, Member of the Securities Investor Protection Corporation – SIPC which protects securities customers of its members up to $500,000 (including up to $250,000 for claims for cash). Explanatory brochure available upon request or at www.sipc.org. Axos Clearing’s policy through Lloyd’s of London provides additional account coverage up to $24.5 million (including up to $1,150,000 in cash) per client as defined by SIPC rules. With both SIPC and Lloyd’s of London coverage, accounts are protected up to a total of $25 million per client (as defined by SIPC rules) including up to $1,150,000 for cash balances, with an aggregate limit of $100 million. This coverage does not protect against the loss of the market value of securities. SIPC does not protect against market risk, which is the risk inherent in a fluctuating market.







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