Quad-Cities Investment Group, LLC (QCIG) is a registered investment adviser with the U.S. Securities Exchange Commission and is notice filed in various states. QCIG may only conduct business in those states and international jurisdictions where we are registered, notice filed, or where we qualify for an exemption or exclusion from registration requirements. The purpose of this web site is to provide general information on our products and services only and should not be construed as a solicitation to effect, or attempt to effect, either transactions in securities or the rendering of personalized investment advice over the Internet. Any communications with prospective clients residing in states or international jurisdictions where QCIG and its advisory affiliates are not registered or licensed shall be limited so as not to trigger registration or licensing requirements.
Representatives of our firm are insurance agents/brokers. They offer insurance products and receive customary fees as a result of insurance sales. A conflict of interest exists as these insurance sales create an incentive to recommend products based on the compensation adviser and/or our supervised persons earn. To mitigate this conflict, our firm will act in the client's best interest.