Who We Are |
| Merrimac Corporate Securities is incorporated
under the laws of the state of New Hampshire. An independent
full service brokerage firm, we offer a full range of
investment services and opportunities including: |
| Banking Services |
| Municipal Securities |
| Corporate Securities |
| Government Securities |
| Mutual Funds |
| Annuities |
| Insurance |
| Unit Investment Trusts |
| Individual Retirement Accounts |
| Self Employed Retirement Plans |
| Pension and Profit Sharing Plans |
| Market Research |
| Proprietary Investment Strategies |
| Professional Asset Management |
Our Financial
Consultants
You can be confident that each
Merrimac Corporate Securities, Inc. Financial Consultant is
qualified and trained to meet the challenges of his or her
position. Emphasis is placed on product knowledge and client
service enhancements. Through research briefings our Financial
Consultants are updated on current events, securities recommendations,
and advised on potential new investment products. Our Financial
Consultants are trained in handling all types of accounts
that we offer including individual or joint accounts, corporate
accounts, IRA’s, Sep IRA’s, 401(k)’s, Simple
Plans, Roth IRA’s, etc. We pride ourselves on offering
the public Financial Consultants for today’s markets.
The Firm is a member of the Financial Industry Regulatory Authority (FINRA), the Securities Investor
Protection Corporation (SIPC) and the Municipal Securities
Rule Making Board (MSRB). The company transacts business for
individual and institutional clients through a correspondent
clearing relationship with Penson Financial Services, Inc.
All accounts are protected up to $24,000,000 through Penson
Financial Services, Inc. The first $500,000 of protection
is provided through SIPC, which includes coverage up to $100,000
in cash. The remaining protection is provided through separated
insurance policies.
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