Fiduciary financial planners
We solve financial problems so our clients can enjoy their life stress free.
Our Promise
Fiduciary
Capital Gains Financial are fiduciaries. We are required by law to have your best interest in mind, not ours.
Constant Analysis
During our regular reviews, we analyize your, portfolio, taxes, insurance, trust, estate plan, risk tolerance, risk needs, social secuirty, and more.
Consistent Communication
Regular communication allows us to focus your plan on your goals.
Personalized Results
We want you to be successful in reaching your goals. With personalzied portfolios, regular communication, education, and support, we will help you reach your goals.
Communication
We promise to always communicate with you as we work towards achieving your goals.
Achieve Goals
We want you to achieve your goals. We want to help you make that happen.
“Our desire is for our clients to achieve their goals. We want them to enjoy their retirement and experience it stress-free. Our personalized solutions are designed to help solve the problems they may have.”
SAM HUNG – PRESIDENT
Your goals and dreams are important to us.
Let us work with you to make them a reality.
Sam Hung and Paul Seig are registered with and securities offered through Kovack Securities, Inc., a member of FINRA/SIPC at 6451 North Federal Hwy Suite 1201, Ft. Lauderdale, FL 33308, (954)782-4771. Sam Hung and Paul Seig offer Investment Advisory services through Kovack Advisors, Inc., an SEC Registered Investment Advisor. Capital Gains Financial is not affiliated with Kovack Securities, Inc. or Kovack Advisors, Inc. Investment Advisor Representatives may only conduct business with residents of the states and/or jurisdiction for which they are properly registered. Linked sites are strictly provided as a courtesy. Kovack Securities, Inc. does not guarantee, approve nor endorse the information or products available at the sites, nor do links indicate any association with or endorsement of the linked sites by Kovack Securities, Inc. nor Kovack Advisors, Inc.
Get background information on these Investment Professionals on FINRA’s Broker Check website and the Client Relationship Summary Form.