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North Ridge Securities Corp.
       
 
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North Ridge Securities Corp.
 
 
Overview: 

The dedicated professionals of North Ridge Securities Corp. and North Shore Capital Management Corp. regularly assist clients in understanding today's complex financial world.


North Ridge Securities Corp. is a full-service broker/dealer and is registered and licensed by the Financial Industry Regulatory Authority (FINRA) and the Securities Investors Protection Corp. (SIPC). Brokerage transactions are cleared through our correspondent firm, Pershing LLC.

North Shore Capital Management Corp. is a seasoned financial planning organization with over 70 years of management experience providing clients with services encompassing a wide spectrum of financial options and strategies. Our philosophy and mission statement communicates our desire for excellence and quality as we seek to help you manage your financial assets.

Since the inception of our firms in the late 1980's, our Registered Representative professionals have provided their clients with knowledgeable guidance through various phases of their financial lives. Implementing a financial plan takes patience and a full understanding of an individual's unique and often, specific financial situation. Our objective is to do everything that appropriately reflects our clients' needs in order to help them achieve their financial goals. We implement all types of investments programs - for individuals, families, trusts and corporations, as we work with our clients to create the programs and strategies that can achieve their goals.
History: 

North Ridge Securities Corp. and affiliate, North Shore Capital Management Corp. was founded in the late '80s by Daniel R. Levy, President, and Joseph H. Clinard, Jr., Chief Executive Officer.

The securities firm, a member of the Financial Industry Regulatory Authority (FINRA), the Securities Insurance Protection Corp. (SIPC) and the Municipal Securities Rulemaking Board (MSRB), is one of Long Island's leading independent broker-dealers.

We pride ourselves on managing our company independently and objectively, while providing our Registered Representatives with the necessary tools and support they need to continue counseling their many thousands of clients.
Member:  FINRA/SIPC/MSRB


 
 
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