Investor Securities Group, Inc.
Sonja Klink has a diverse work experience spanning over three decades. Sonja started their career at Merrill Lynch in 1991 as a Mutual Fund Reconciliations specialist and worked there until 1998. Sonja then joined Old Dominion Investors Trust in the same year as a Trader until 2004.
In 1998, they also joined Investors Security Company, Inc. as a Vice President, Compliance Officer, and Firm Principal, where they stayed until 2012. During this time, they also played a key role in managing Old Dominion Investors Trust.
In 2012, Sonja was appointed as the Vice President and Chief Compliance Officer at Investor Securities Group Inc, a branch office of Securities America Inc. This position was a result of the assets of Investors Security Company being sold to become a super branch of Securities America.
Overall, Sonja Klink has gained significant expertise in compliance, trading, and mutual fund operations throughout their career.
Sonja Klink attended Sandalwood High School from 1987 to 1991, where they obtained a degree. From 1991 to 1994, they attended FCCJ, but did not earn a degree or pursue any specific field of study.
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Investor Securities Group, Inc.
Our Firm When Investors Security Company, Inc., sold its assets to Securities America, Inc., in December 2012, Investor Securities Group, Inc. was formed. Maintaining many of the executives and operations staff, Investor Securities Group, Inc. maintained its culture from the founding of the original broker/dealer in 1964 by Cabell Birdsong. The buzz word today is independent, a term that has applied to Investors Security Company, Inc., and then passed on to Investor Securities Group, Inc. for 50 years. This strategic alliance allows Securities America, Inc., a larger presence on the East Coast. It affords Investor Securities Group, Inc., access to technology, trading, and research. It also provides investment banking services through Ladenburg Thalmann and trust services through another Ladenburg affiliate, Premier Trust. Investor Securities Group, Inc. is one of the largest branch offices of Securities America, Inc. and services individual advisors throughout the United States. Currently with approximately 130 advisors, our branch has over $1 billion in assets under management and administration. SAI and our branch dual clear through both Pershing, LLC. member FINRA, NYSE, SIPC, a subsidiary of The Bank of New York Mellon Corporation, and National Financial Services, LLC, Member NYSE/SIPC. This allows for more flexibility and a wider spectrum of programs. Registered Representatives offer securities through Securities America, Inc. Member FINRA (www.finra.org) / SIPC (www.sipc.org). Investment Advisor Representatives offer financial advice through Securities America Advisors, Inc. Investor Securities Group, Inc. and the Securities America companies are separate entities. For additional information and important disclosure, please visit our website www.isgva.com