Ready for the financial services revolution? Us, too.
At Axtella, we go beyond “the way things have always been done.” Since we opened our doors over four decades ago, we’ve developed a proven track record of innovating with the industry while supporting our professionals in their business. If you’re looking to establish deep connections and go where no firm has gone before – you’re in the right place.
Develop
on your terms.
Our financial professionals are industry visionaries. When you’re part of our team, you can innovate and run your business with our dedicated support.
Our home office team collaborates to help simplify your life, giving you more time to build strong client relationships, spend time with family, and enjoy your favorite leisure activities.
In our orbit.
These firms provide a unique, personal experience for our network of independent financial professionals licensed at one or multiple firms.
Founded in 1983
400+ financial professionals
Broker-dealer (BD)
Since 1983, Sigma Financial Corporation has been a member of the Financial Industry Regulatory Authority, Inc. (previously known as the NASD), as well as the Securities Investor Protection Corporation (SIPC), as a privately owned, independent broker-dealer. Our affiliated financial professionals guide their clients to help them achieve financial freedom. Today, Sigma stands out as one of Michigan’s premier independent broker-dealers with a nationwide presence.
Founded in 1984
600+ investment adviser representatives
Registered Investment Adviser (RIA)
Sigma Planning Corporation is registered with the United States Securities and Exchange Commission (SEC) as an investment adviser. With a commitment to personal service, SPC partners with investment adviser representatives (“IARs”) who service clients in a professional, ethical manner. SPC supports investment management, financial planning, and consulting services, helping our IARs manage the assets of investors across the country.
Founded in 2001
250+ financial professionals
Broker-dealer (BD)
Originating in 2001 as an affiliate of a national life insurance company, Sammons Securities, LLC changed its name and ownership in 2014 to Parkland Securities, LLC. Parkland is a member of the Financial Industry Regulatory Authority, Inc. (previously known as the NASD), as well as the Securities Investor Protection Corporation (SIPC), as a privately owned, independent broker-dealer. Financial professionals affiliated with Parkland enjoy a competitive suite of quality investment products and services that complement their traditional insurance background.