Check the background of this financial professional on FINRA's BrokerCheck.

Our Qualifications
Jim comes from a hard-working family. The strong work ethic and values he learned from his parents carried over to the financial planning business he started in 1988. He has earned two professional designations so far to better serve his clients: CLU (Chartered Life Underwriter) and ChFC (Chartered Financial Consultant). Jim has been a member of the Society of Financial Service Professionals since 1988 and serves on their National Board as President Elect 2013-2014 and President 2014-2015. He has co-chaired and has been actively involved with the Minnesota Business Ethics Award since 1999 which recognizes and honors those Minnesota companies that exemplify a strong commitment to ethical business conduct. Over 30 hours per year of continuing education help him to provide cutting edge information, knowledge and wisdom for each of his clients, many in other states.
Tell A Friend Tell A Friend
 
 
 
Securities and advisory services offered through FSC Securities Corporation, member FINRA and SIPCOutside business activities of insurance services are offered through Jim Christian Inc. which is independent of FSC. MN Insurance License #27546
 
IMPORTANT CONSUMER INFORMATION
A Broker/dealer, investment adviser, BD agent, or IA rep may only transact business in a state if first registered, or is excluded or exempt from state broker/dealer, investment adviser, BD agent, or IA registration requirements as appropriate. Follow-up, individualized responses to persons in a state by such a firm or individual that involve either effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made without first complying with appropriate registration requirements, or an applicable exemption or exclusion. For information concerning the licensing status or disciplinary history of a broker/dealer, investment, adviser, BD agent, or IA rep, a consumer should contact his or her state securities law administrator.


This communication is strictly intended for individuals residing in the state(s) of AZ, AR, CA, CO, FL, GA, KS, MN, MO, SD, TX, VA and WI. No offers may be made or accepted from any resident outside the specific states referenced.
 


Check the background of this financial professional on FINRA's BrokerCheck.