Our financial services representatives combine their education in financial services with an in-depth knowledge of the ever-changing insurance industry landscape to provide you with solutions for your unique situation. All financial services representatives must pass comprehensive exams to obtain a license to sell products in your state.
Check our background on FINRA Broker Check by clicking here.
We have individuals licensed to sell insurance products in the following jurisdictions:
CO, DE, GA, TX, FL, IA, IL, KS, MD, MI, MN, MT, NC, NE, NJ, NY, TN, VA, WA & WY
We have individuals licensed to sell securities products in the following jurisdictions:
AZ, CA, DE, TX, CO, FL, GA, IA, IL, KS, LA, MA, MD, MI, MN, MS, MT, NC, ND, NE, NJ, NM, NY, OK, OR, TN, VA, VT, WA, WI & WY
See our Customer Relationship Summary.
Securities, investment, advisory, and financial planning services are offered through qualified registered representatives of MML Investor Services, LLC. Member SIPC. www.sipc.org. Supervisory office: 317 Grace Lane, Suite 250, Austin, Texas 78746, 512.346.6020. Grace Lane Financial Partners, LLC is not a subsidiary or affiliate of MML Investor Services, LLC or its affiliated companies.