Cambridge Financial Advisors Inc.

 

 

 

Cambridge Financial Advisors, Inc.  is an independent broker-dealer for financial professionals striving to offer unbiased investment advice to investing clients. We are among the nation’s top independent broker-dealers and are fully devoted to our four core values of integrity, commitment, flexibility, and kindness. We are proud that independent financial professionals who are dedicated to our values choose Cambridge.

Over 30 years ago*, Cambridge set out to partner with trusted advisors to offer what is best for their independent businesses and their clients. Founder, Chairman, and CEO Eric Schwartz acted with inspired vision that led the industry-wide paradigm shift: the development of a hybrid model to support freedom of choice and open architecture fee and commission platforms. Today, Cambridge continues on the same path – intent on innovation and problem solving – with a firm-wide focus on solving one of the greatest challenges facing successful independent advisors: business continuity and succession planning.

Cambridge Investment Group, Inc. is a privately-controlled firm with a national reach across the financial services industry consisting of multiple broker-dealers and RIAs, including: Cambridge Investment Research Advisors, Inc. – a large corporate RIA; and Continuity Partners Group, LLC – a special purpose broker-dealer and registered investment advisor; and Cambridge Investment Research, Inc. – an independent broker-dealer, member FINRA/SIPC, that is among the largest privately-controlled independent broker-dealers in the country supporting over 3,000 independent financial professionals nationwide who serve their clients as registered representatives and investment advisor representatives, choosing to use either Cambridge’s firm Registered Investment Adviser or their own.

Cambridge has earned the honor of Broker Dealer of the Year nine times, previously honored in 2017, 2016, 2015, 2014, 2013, 2012, 2010, 2008, and 2007 as Broker-Dealer of the Year in Division IV and in 2003 for Division III.  

Cambridge's purpose is to make a difference in the lives of our advisors, their clients, and our associates.

 

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