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John Christopher Nori, CRPC, CRPS, AIF
President & CEO

John C. Nori graduated from Albion College in 1995 with a Bachelor of Arts in Economics. †He received a Master of Business Administration from the University of †Phoenix in 2002. †He has earned the specialized designations of Chartered Retirement Planning Counselor , Chartered Retirement Planning Specialist and Accredited Investment Fiduciary.

Prior to founding Midwest Financial Advisors in August 2005, Mr. Nori held the positions of financial advisor with Morgan Stanley Dean Witter from 1996 to 1998 and with Merrill Lynch from 1998 to 2005. While at Merrill Lynch, Mr. Nori was the firmís FAIC at the Clinton Township office. †Mr. Nori currently holds various professional registrations and insurance licenses including the Series 7, 9 & 10, 24 (Supervisory Designations), 63 and 65.




John Christopher Nori, CRPC, CRPS, AIF

Midwest Financial Advisors

12900 Hall Road, Suite 415
Sterling Heights, MI 48313


Direct:
586.997.1110
Fax: 586.997.1115
E-mail: john@midwestfa.com
   
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To learn more about the professional history of our financial advisor(s), please visit FINRA's BrokerCheck. *Securities and investment advisory services offered through SagePoint Financial, Inc., member FINRA / SIPC  and registered investment advisor. All other services including health and traditional insurance services are offrred thrugh Midwest Financial Advisors, not affiliated with SagePoint Financial or registered as a broker dealer or investment advisor. This communication is strictly intended for individuals residing in the states of AZ,MI,CT,KY and FL. No offers may be made or accepted from any resident outside the specific states referenced.
                                       
IMPORTANT CONSUMER INFORMATION
A Broker/dealer, investment adviser, BD agent, or IA rep may only transact business in a state if first registered, or is excluded or exempt from state broker/dealer, investment adviser, BD agent, or IA registration requirements as appropriate. Follow-up, individualized responses to persons in a sate by such a firm or individual that involve either effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made without first complying with appropriate registration requirements, or an applicable exemption or exclusion. For information concerning the licensing status or disciplinary history of a broker/dealer, investment, adviser, BD agent, or IA rep, a consumer should contact his or her state securities law administrator.