OUR SERVICES | 3 Meeting Process

3 Step Process
In order to offer the best-fitting investments for your specific situation, we use a three-step process:

Step 1

Data collection

The first meeting involves sitting down with us to discuss your goals, your time horizon, your plans, your risk tolerance, and your current financial situation. Much like a doctor conducts a physical, we conduct an in-depth data collection to evaluate your current portfolio and current situation. Additionally, we will give you a questionnaire to help you ascertain your own attitudes about investing.

Step 2

Presentation meeting

After the data collection meeting, we do a comprehensive analysis of your financial situation. We complete a financial plan that includes retirement planning, estate planning, portfolio analysis, tax analysis, and so forth. Then, we give you recommendations for your specific situation.

We take the time to educate our clients. Therefore, your recommendations are not just presented; they are explained in detail. You should not make any decisions in this meeting. You will be given all of your recommendations and your financial plan to take home and review.

Step 3

Implementation meeting

This meeting involves reviewing, answering questions, and completing the paperwork to implement your financial plan.

Follow-Up Meetings
After becoming our client, you will continue to meet with us regularly to monitor your situation and your portfolio. Additionally, we are available to coordinate your plan with your estate planning attorney and your accountant.

Our clients receive a quarterly newsletter and monthly market updates. And, of course, we are always available to answer questions.

This communication strictly intended for individuals residing in the states of AL,AZ,CA,CO,DE,FL,GA,IL,IN,MD,ME,MI,NC,NE,NJ,NM,NY,OH,OK,OR,PA,SC,TN,TX,VA,WA,WI. No offers may be made or accepted from any resident outside these states due to various state regulations and registration requirements regarding investment products and services.
Investments are not FDIC- or NCUA-insured, are not guaranteed by a bank/financial institution, and are subject to risks, including possible loss of the principal invested.
Securities and advisory services offered through Commonwealth Financial Network®.
Member FINRA, SIPC, a Registered Investment Advisor.
Privacy Policy
© Copyright 2011 - 2017