Ryan McNamara attends 2014 SII Top Producer Conference

SII Investments, Inc.®, a full-service broker/dealer serving independent investment professionals nationwide, recently hosted its annual Top Producer Conference. Ryan McNamara of Bank Midwest Wealth Management was among an elite group of SII representatives invited to attend.

The theme for this year’s conference was “Surfin’ to Success”, with the St. Regis Monarch Beach setting the stage for the program. The event focused on regulatory changes in the financial industry and what’s in store for the future. Representatives were invited to informative workshop sessions and educational seminars to broaden their knowledge about innovative products, trends and technological advancements that enable them to spend more time with their clients.

The conference also honored SII Investments, Inc’s leading representatives with a Top Producer Award Banquet. Representatives attribute their continued success to building solid client relationships and staying current with in-depth industry knowledge.

SII is committed to educating its representatives with conferences addressing the latest industry changes and important information. SII and its representatives realize each client relationship is unique and requires a tailored solution. Through establishing premier relationships and delivering timely industry information, SII provides representatives the tools to offer clients a custom solution to meet their needs.

Ryan McNamara is a Registered Representative with SII Investments, Inc. He has been providing investment services to clients throughout the southern Minnesota area for 13 years. Ryan’s web site may be viewed at

Ryan McNamara is a CERTIFIED FINANCIAL PLANNER™ professional, Chartered Life Underwriter® and Accredited Investment Fiduciary®

SII Investments, Inc.,®, member FINRA, SIPC and a Registered Investment Advisor is not affiliated with Bank Midwest and Bank Midwest Wealth Management. Securities and advisory services offered through SII Investments Inc.® are *not insured by the FDIC or any other Federal Government Agency *not a deposit or other obligation of, or guaranteed by any bank or their affiliates *subject to risks including the possible loss of principal amount invested.

Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, Certified Financial Planner™ and federally registered CFP (with flame design) in the U.S., which it awards to individuals who successfully complete CFP Board’s initial and ongoing certification requirements.