Broker-Dealer Firms

14 registered firms in FINRA BrokerCheck database Data from FINRA BrokerCheck and the SEC Investment Adviser Public Disclosure (IAPD), covering registered firms across all 50 states; see our methodology.

Composite registration-status share across all firms

Status88%ActiveTerminatedSuspendedCancelled
Composite registration-status share across all firms

Active firms accept new client business and file annual Form ADV updates. Terminated firms have surrendered registration but remain searchable for historical disclosures.

Suspended registrations are typically pending an SEC or state-securities-commission review. Cancelled firms are administratively closed.

All States
Firm Name ↕ State Disclosures ↕ Advisors ↕ Grade Status
CONNERS & CO., INC.
CRD: 1511
OH 8 1 F Active
CORE FINANCIAL, LLC
CRD: 151044
OH 1 1 F Active
INVESTMENT NETWORK, INC.
CRD: 127724
OH 2 1 F Active
INVESTMENTS FOR YOU, INC.
CRD: 29257
OH 3 1 F Active
L.M. KOHN & COMPANY
CRD: 27913
OH 1 1 F Active
LFT SECURITIES, LLC
CRD: 290210
OH 0 1 A Active
MGO SECURITIES CORP.
CRD: 37584
OH 0 1 A Active
RKCA, INC.
CRD: 17655
OH 2 1 F Active
SKA SECURITIES, INC.
CRD: 113852
OH 0 1 A Active
THE TAVENNER COMPANY
CRD: 18004
OH 0 1 A Active
W&S BROKERAGE SERVICES, INC.
CRD: 8099
OH 0 1 A Active
WOBD, LLC
CRD: 285537
OH 0 1 A Active
YELLOW CARDINAL CORPORATE FINANCE, LLC
CRD: 135111
OH 1 1 F Active
ZELMAN PARTNERS, LLC
CRD: 145187
OH 0 1 A Active