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financial practice management corp.
Information by Research TrustFinance
Founded in 1999 by three independent financial advisors, Financial Practice Management, Inc. (FPM) was established to provide a supportive and independent environment for other financial professionals. The company operates as both a broker-dealer (member FINRA/SIPC) and an SEC-Registered Investment Advisor (RIA). FPM's core mission is to empower independent financial advisors by offering them the freedom, flexibility, and comprehensive support needed to effectively manage and grow their practices without the pressures of proprietary products or sales quotas.
United States
Industry
Financial