About

North Ridge Securities Corp.

North Ridge Securities Corp. is one of the industry’s most trusted Independent Broker Dealers and Registered Investment Advisors, serving thousands of clients nationwide for nearly 30 years. With over 100 years of combined management experience and the highest quality independent financial advisors, the team of dedicated professionals at North Ridge are committed to providing best-in-class financial advice, service and planning for all stages in life.

As an Independent Broker Dealer and Registered Investment Advisor, we at North Ridge are committed to putting our clients’ best interests first. We understand that designing and implementing a sound financial plan requires patience and a thorough understanding of an individual’s specific and unique financial situation. There is no one-size-fits-all solution. Unlike many other institutions, we do not incentivize any particular product or product type, or utilize sales goals or targets. As a result, we have empowered our financial advisors to provide only objective, unbiased advice that benefits of their clients through all of life’s challenges.

We truly believe in the team approach in achieving our clients’ success and understand the critical nature of smoothly and efficiently working with our clients’ other service professionals to help achieve their objectives. We have deep experience collaborating with the others in your team, including attorneys, accountants, third-party money managers and retirement plan administrators to ensure that our clients’ goals are achieved.

Simply put, for nearly 30 years the dedicated professionals of North Ridge Securities Corp. have followed one guiding principle: We succeed when you succeed. We have been and always will be committed to working tirelessly, day in and day out, to help you achieve your goals.


North Ridge Securities Corp. is a full-service Independent Broker Dealer and Registered Investment Advisor, registered and licensed by the Financial Industry Regulatory Authority (FINRA), the Securities and Exchange Commission (SEC) and the Securities Investors Protection Corp. (SIPC). Insurance services are offered through North Shore Capital Management Corp. Brokerage transactions are cleared through our clearing firm, Pershing LLC.