Matthew Senicola, CRPC® AAMS ® has been advising investors professionally for over 20 years and his strong entrepreneurial drive motivated him to become one of the early founders of North Shore Wealth Management Group, LLC. He holds the title of branch manager of the Massapequa, NY office. Qualifications: -Series 7 FINRA General Securities Representative -Series 63 Uniform Securities Agent State Law Exam -Series 24 General Securities Principals License -Series 65 Uniform Investment Advisor Law Examination License -New York State Health and Life Insurance License He is licensed to do business in 26 states - AZ, AR, CA, CO, CT, FL, GA, HI, ID, IL, KS, MD, MA, MI, MN, MO, NV, NJ, NY, NC, OR, PA, TX, UT, VA, and WA. Media: Matthew has contributed and been quoted in publications such as Bloomberg, Jim Cramer’s -The Street.com, CNBC, Reuters, Markets Media, Midland Business Journal, Long Island Business News, Barron's, Newsday, Investors Business Daily, USA Today and the Wall Street Journal, Seeking Alpha. Specialties: Dividend Paying Stocks, Tax Free Municipal Bonds, Corporate Bonds, Options, ETF's, Mutual funds, Unit Investment Trusts, Closed end funds, REIT's, MLP's, BDC's, Annuities, Life Insurance, 401k's and IRA Rollovers.