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CRI Securities, LLC. Securities Dealer, Member FINRA/SIPC Registered Investment Advisor 2701 University Avenue SE Minneapolis, MN 55414-3238 612-617-6000 |
Privacy Policy Your internet privacy concerns are important. This statement describes our practices concerning the collection, use and security of the personally identifiable information that you provide us over the Internet. Collection of Information In some areas of our Web site, we may request that you provide personally identifiable information, including your name, address, e-mail address, telephone number, social security number, or policy/contract number. If you are seeking a job and post a resume, we will also ask you to provide employment and education history in addition to contact information. We limit the collection and storage of personally identifiable information to that necessary for us to administer our business, provide quality service, or offer you opportunities we think might be of interest. We use Web tracking software to collect the name of the domain from which you access the Internet and the site from which you came in to our site. This information is used for internal analysis only and helps us improve the content of our website for your future business. Disclosure of Information If you provide personal information to us via our Web site, we will not disclose that information outside of the Firm except as described below.
Cookies Cookies are small pieces of information that Web sites can store on your computer. At this time, this web site does not use cookies. Changes to Privacy Statement The Firm may change this Statement from time to time. If we decide to change our Privacy Statement, we will post those changes on this Web site so that you will always know what information we gather, how we might use that information, and to whom we will disclose it. This Statement is not intended to and does not create any contractual or other legal rights in or on behalf of any party. Mutual funds, brokerage services, and general securities are offered through CRI Securities, LLC., Securities Dealer, which is licensed/registered to conduct business in Arizona, California, Florida, Georgia, Iowa, Illinois, Michigan, Minnesota, Missouri, Montana, New Mexico, North Dakota, Oregon, South Dakota, Texas, and Wisconsin. Mutual funds, variable life insurance, variable annuities, brokerage services, and general securities are offered through Securian Financial Services, Inc., Securities Dealer, Member FINRA/SIPC. Securian is licensed/registered to conduct business in all 50 States. For more complete information about these products and services, contact a CRI Securities Registered Representative or contact CRI Securities, LLC. |
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