Overview
Concorde Financial Resources, operating since August 2001, provides investment supervisory
services, general investment advice, and advice to clients not involving securities. Over 95% of
advisory billings are related to the investment supervisory business. A small percentage of advisory
revenues involve special projects, retirement plan reviews, and consultations. We engage
prospective clients in a pre-advisory consultation to gain better insight into their individual
circumstances, needs, risk tolerance, time frame, and objectives. From this discussion, we
determine the appropriateness of an investment advisory relationship.
If an investment advisory relationship is recommended, we build a portfolio recommendation in
the context of the comprehensive client circumstance. The advisory fee may include general
financial advice: retirement planning, insurance reviews, tax advice and return preparation,
education funding, and coordination of estate plans with qualified professionals.
Concorde Financial Resources is an S Corporation owned and managed by Mary Catherine “Cathy”
Ferguson.
Mary Catherine “Cathy” Ferguson is President, and responsible for the leadership and direction of
Concorde investment activities. She is actively involved in portfolio construction and client
meetings. Cathy is a Registered Representative and an Investment Advisor Representative. She
also manages our office, administration, and is our branch person in charge. Cathy is a state
licensed
insurance agent for annuities and life insurance products. As an Investment Advisor
Representative, as well as a broker/dealer Registered Representative, Cathy’s services can be
commission or fee based. Cathy is paid a commission on sales of insurance products and
transactions executed through the broker/dealer creating a conflict of interest; clients are not
required to purchase these products.
Jessica Trunck is the Chief Compliance Officer of Concorde Financial Resources. She is also Chief
Compliance Officer for Westminster Financial Securities, 50 Chestnut Street, Suite A-200
Beavercreek, OH 45440. As the Chief Compliance Officer, she is responsible for supervision of
Concorde’s Investment Advisory.
Westminster Financial Securities, Inc. is the only broker/dealer utilized for Concorde Financial
Resources.
Mary C. Ferguson President – Owner 100%
Born 1958
Practice Over 20 Years Professional Experience
Licenses: Series 7, Series 24, and Series 65
NC Life, Health Insurance & Variable Annuity
Business: 08/2001 to Present Concorde Financial Resources
Concorde Financial does not sponsor or participate in any wrap fee programs.
As discussed in Concorde Financial Resources Form ADV Part 1, Concorde Financial Resources
manages $182,778,302 in client assets through our advisor service of which $172,096,711 is on a
discretionary basis. These totals are calculated using the closing US market prices from December
31, 2023.