Craig Lieber, as the Owner of Central Securities of America, brings nearly two decades of extensive experience in the financial services industry, specializing in crafting tailored investment strategies that cater to both income and growth-oriented investors. His deep understanding of the market dynamics and regulatory...
Craig Lieber, as the Owner of Central Securities of America, brings nearly two decades of extensive experience in the financial services industry, specializing in crafting tailored investment strategies that cater to both income and growth-oriented investors. His deep understanding of the market dynamics and regulatory environment, bolstered by his credentials as a registered investment advisor and securities principal, allows him to provide clients with objective and unbiased financial guidance. Under Craig's leadership, Central Securities of America has established itself as a trusted partner for individuals seeking personalized financial solutions.
At Central Securities of America, Craig oversees a diverse portfolio of key projects aimed at enhancing client engagement and satisfaction. His commitment to strategic planning and new business development has led to the implementation of innovative investment strategies that align with clients' unique financial goals. Whether it’s developing retirement plans, wealth management strategies, or risk assessment frameworks, Craig leverages his expertise in securities and investments to ensure that clients receive comprehensive financial advisory services.
Craig's proficiency in navigating the complexities of the financial landscape is complemented by his strong leadership skills, which foster a collaborative environment among the independent financial advisors at Central Securities of America. This synergy not only enhances the quality of service provided but also empowers clients to make informed decisions about their financial futures. As a licensed professional with Series 4, 7, 24, 63, and 65 licenses, Craig remains dedicated to upholding the highest standards of integrity and professionalism in the financial advisory space, ensuring that each client receives the attention and expertise they deserve.