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John Randolph Larson

NORTHLAND SECURITIES, INC.·MINNEAPOLIS, Minnesota
SIE, Series 7, Series 63, Series 79TOClean recordNORTHLAND SECURITIES, INC.
150 SOUTH 5TH STREET, MINNEAPOLIS, MN 55402CRD# 4591587Firm CRD# 40258

Profile Verification

Sourced · FINRA · SEC · CFP Board · Self-disclosed
Identity
John Randolph Larson · MINNEAPOLIS, MN
Registration
CRD #4591587 · NORTHLAND SECURITIES, INC.
Brand Profile
Not yet started
01

Registrations & Exams

FINRA examinations passed
SIE
Series 7
Series 63
Series 79TO
02

Disclosure History

Clean record · no disclosure events on file

Source: SEC IAPD, as of 14 August 2026. Verify on FINRA BrokerCheck →

03

Firm Overview

Firm
NORTHLAND SECURITIES, INC.
CRD 40258 · SEC 801-96329
AUM
$237M
Regulatory assets under management
Employees
19
826 client accounts
Services offered by NORTHLAND SECURITIES, INC.
Per Form ADV
Financial planning
Portfolio management (individuals)
Security ratings or pricing services
Other
Client types served by the firm
Per Form ADV
Individuals
High Net Worth Individuals
Introduction

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04

Frequently Asked Questions

What services does John Randolph Larson offer?
John Randolph Larson specializes in Financial Planning, Investment Management. Contact their office in MINNEAPOLIS, Minnesota for a consultation.
What are John Randolph Larson's credentials?
John Randolph Larson is a registered investment adviser representative. Check their firm's Form ADV filing for detailed qualification information.
Where is John Randolph Larson located?
John Randolph Larson is based in MINNEAPOLIS, Minnesota, working with NORTHLAND SECURITIES, INC.. Their office serves clients in the MINNEAPOLIS metropolitan area and surrounding communities.
How does John Randolph Larson charge for services?
John Randolph Larson's firm is compensated through percentage of aum, hourly charges, subscription fees, other: negotiated. Always review the firm's Form ADV Part 2 for complete fee details before engaging an advisor.
How large is NORTHLAND SECURITIES, INC.?
NORTHLAND SECURITIES, INC. has approximately 19 employees and manages $237M in regulatory assets under management. The firm is registered with the SEC as an investment adviser.
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