Our brokerage services include everything from mutual funds to stocks and bonds.
State Bank provides a full array of brokerage services through Cetera Investment Services, LLC. Cetera Investment Services, LLC is an independent registered broker/dealer providing services to customers of financial institutions, including State Bank. Cetera Investment Services, LLC is a member of the Chicago Stock Exchange, the Financial Industry Regulatory Authority (FINRA), and the Securities Investors Protection Corporation (SIPC).
The addition of investment services through Cetera Investment Services, LLC is a big step toward achieving a goal envisioned in 1998 when State Bank initially opened.
With Cetera Investment Services, LLC at State Bank, you can enjoy the convenience of conducting your banking and investment activities at one location. You'll find the products and services you'd expect from a traditional brokerage firm along with the high level of attention you've grown accustomed to at State Bank. We will be offering a full range of investment products including the following:
- Mutual Funds
- Stocks & Bonds
- Brokered Certificates of Deposits
- US Government Securities
- Tax Favored Investments
- 529 College Savings Plans
- ...and more!
Investment Executives are fully licensed and registered to conduct securities business and insurance business in the State of Illinois. Response to or contact with residents of other states will only be made upon compliance with applicable licensing and registration requirements. The information in this website is for U.S. residents only and does not constitute an offer to sell or a solicitation of an offer to purchase brokerage services to persons outside of the United States.
Securities and insurance products are offered through Cetera Investment Services LLC, member FINRA/SIPC. Advisory services are offered through Cetera Investment Advisers LLC. Neither firm is affiliated with the financial institution where investment services are offered. Advisory services are only offered by Investment Adviser Representatives. Investments are: *Not FDIC insured *May lose value *Not financial institution guaranteed *Not a deposit *Not insured by any federal government agency. 1718 S. Dirck Drive, Freeport, IL 61032 815-297-0900
Click here to check the background of our investment professional, Troy Lessman, on FINRA's BrokerCheck.