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Ingleside Financial Group

Charles M. “Mike” Moore, Crawford "Brown" Edwards, and John McHugh are registered representatives of Lincoln Financial Advisors Corp.

We are licensed to offer insurance in AL, AZ, CO, FL, GA, IA, IN, MD, MN, MO, NC, OH, SC, TN, and TX

We are licensed to offer securities in AL, AZ, CO, DE FL, GA, IA, IN, MD, MN, MO, NC, OH, OR, SC, TN, TX, and VA

Unless otherwise identified, associates on this website are registered representatives of Lincoln Financial Advisors Corp.

Ingleside Financial Group is not an affiliate of Lincoln Financial Advisors.

*Associated persons of Lincoln Financial Advisors Corp. who hold a JD and/or CPA license do not offer tax or legal advice on behalf of the firm.

Securities and investment advisory services offered through Lincoln Financial Advisors Corp., a broker/dealer and a registered investment advisor. Member SIPC. Insurance offered through Lincoln affiliates and other fine companies and state variations thereof. Lincoln Financial Group is the marketing name for Lincoln National Corporation and its affiliates. Firm disclosure information available at www.LFG.com.

Lincoln Financial Advisors Corp. and its representatives do not provide legal or tax advice. You may want to consult a legal or tax advisor regarding any legal or tax information as it relates to your personal circumstances. This material is for general use with the public and is designed for informational or educational purposes only. It is not intended as investment advice and is not a recommendation for retirement savings.

CRN-3546424-041321

See Lincoln Financial Advisors (LFA's) Form CRS Customer Relationship Summary, available here, for succinct information about the relationships and services LFA offers to retail investors, related fees and costs, specified conflicts of interest, standards of conduct, and disciplinary history, among other things. LFA's Forms ADV, Part 2A, which describe LFA's investment advisory services, Regulation Best Interest Disclosure Document, which describes LFA's broker-dealer services, and other client disclosure documents can be found here.

 

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Check the background of this financial professional on FINRA's BrokerCheck