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GSP Financial Strategies
growth, stability, protection
GSP Financial Strategies is a registered investment adviser. Individuals and firms may only transact business in a jurisdiction after satisfying its licensing and qualification requirements, or after being excluded or exempted. This site has been designed for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any security which may be referenced upon the site. Such offers can only be made where lawful under applicable law. GSP Financial Strategies does not intend to provide investment advice through this site and does not represent that the securities or services discussed are suitable for any investor. Investors are advised not to rely on any information contained in the site in the process of making a fully informed investment decision. GSP Financial Strategies does not, and this site does not intend to, render tax or legal advice.
Investment Adviser Registration
GSP Financial Strategies being in compliance with all rules and regulations will make available any and all public documents upon request from Daurene Lee, CFP, CSA, CLTC.
Please contact by phone during normal business hours at 702.405.9563
U.S. Securities and Exchange Commission provides an Investment Adviser Search giving information about firms and representatives registered with the SEC.
FINRA is the largest independent regulator for all securities firms doing business in the United States. According to their website they oversee nearly 4,700 brokerage firms, 167,000 branch offices and 637,000 registered securities representatives. FINRA's chief role is to protect investors by maintaining the fairness of the U.S. capital markets.