Reynolds Woog Team Dan Woog | Jim Reynolds At Northland Securities, we believe our teamwork approach adds a broader perspective to all we do and provides increased benefits to our clients. Our vision is to serve our clients with integrity and professionalism, and our goal is to maintain long-term relationships built on trust, consistency, and reliability. Our success is measured by their success. We can help you address: Investing principles and strategies Retirement investing and distribution strategies Estate conservation issues Risk management analysis We also can answer your questions, including: Can I retire early? Are my investments working hard enough? What’s a good approach for college savings? What are the elements of a sound estate strategy? Do I have enough life insurance for my family? We have helped many people just like you with similar issues and concerns. We can help you create an approach that is designed to address your individual situation. Call or email us to schedule a meeting with us at your convenience. We are available to assist you Monday-Friday, 8:00 AM – 5:00 PM, and other times by appointment. Contact Jim: 612.851.5983 Email: jreynolds@northlandsecurities.com Dan: 612.851.5996 Email: dwoog@northlandsecurities.com Toll-Free: (877) 851-5978 150 South 5th Street, Suite 3300 Minneapolis, MN 55402 The content is developed from sources believed to be providing accurate information. The information in this material is not intended as tax or legal advice. Please consult legal or tax professionals for specific information regarding your individual situation. The opinions expressed and material provided are for general information, and should not be considered a solicitation for the purchase or sale of any security. Investments and Insurance Products: Not a Deposit | Not Guaranteed by the Bank or its Affiliates | Not FDIC Insured | Not Insured by Any Federal Government Agency | May Go Down in Value | Not a Condition to Any Banking Service or Activity Northland Securities, Inc., Member FINRA and SIPC, Registered with SEC and MSRB, is a diversified financial services firm offering wealth management, public finance, municipal advisory, and equity and fixed income capital markets services. Northland Securities, Inc., is also a SEC Registered Investment Adviser, doing business as Northland Asset Management offering investment advisory services. Northland Securities, Inc., is a subsidiary of Northland Capital Holdings, Inc. First National of Nebraska, Inc., is the parent company of Northland Capital Holdings, Inc. and First National Bank of Omaha. Clearing services for Northland Securities are provided by Pershing LLC, Member FINRA, NYSE, and SIPC, a wholly-owned subsidiary of BNY Mellon. Northland Capital Holdings, Inc. is the parent of these subsidiaries: Northland Securities, Inc., Northland Networks, Inc., and Northland Trust, Inc. Northland Wealth Management, Northland Asset Management, and Northland Capital Markets are divisions of Northland Securities, Inc. Northland Securities, Inc. does RIA business as Northland Asset Management (NAM), a Registered Investment Advisor (RIA) offering portfolio management services to institutions and individuals. Northland Asset Management is a SEC Registered Investment Advisor. ADV and ADV 2A and B information may be obtained at this SEC website link or by written request: https://adviserinfo.sec.gov/firm/summary/40258. Registration as an Investment Advisor does not imply a certain level of skill or training. A full text of Northland’s Code of Ethics is available to you upon request. Fixed and variable annuities and other insurance products are offered through N Land Insurance Services (License # 6007398) in California and through Northland Securities, Inc. in all other states where it is licensed to do business. Insurance products are underwritten by unaffiliated insurance companies. Form CRS Document Click here to view more information on the Form CRS and the SEC Regulation Best Interest. Check the background of your financial professional from their direct FINRA BrokerCheck link on our Wealth Management Team page. Jim Reynolds’ FINRA BrokerCheck Dan Woog’s FINRA BrokerCheck Reynolds Woog Team is registered to sell securities in the following states: AZ, AK, CA, CO, FL, GA, IL, IA, KS, MA, MI, MN, MS, MO,MT, NE, NM, NV, NJ, NY, ND, OH, OK, OR, SD, TX, UT, WI, WY Licensed to sell insurance in the following states: AL, AZ, CO, FL, IA, IL, MI, MN, MO, ND, NV, SD,TN, UT, VA, WI