The StockCross Approach

Cutting edge technology; back-to-basics mentality; StockCross Investment Specialists and our rich online resources will help you create and manage a long-term investment strategy.


"Honesty, integrity and trust; that’s what I look for in a financial services firm. As an added bonus, with StockCross I can easily access my account via the Internet."

J. Gabrielson
Insurance Sales Manager
StockCross Client

Account Protection

The Safety and Security of your Account is a Priority at StockCross.

40 years and counting: StockCross has built a sterling reputation among investors. While trust is steadily earned, your account is protected from Day One.

No brokerage firm can guarantee the market value of your investments or insure against market declines.

SIPC Protection

StockCross is a member of the Securities Investor Protection Corporation (SIPC), which protects securities customers of its members up to $500,000 (including $250,000 for claims for cash). This does not protect your account against loss in market value of securities. Explanatory brochure available upon request or at

London Insurance

StockCross provides an additional $20 million protection per client through supplementary coverage by a London Insurer. StockCross also has an additional aggregate total coverage of $50 million. This coverage protects against brokerage insolvency and does not protect against loss in market value of securities.

Third Party Security

Verisign - The VeriSign Trust

Seal shows the world that VeriSign has confirmed StockCross' identity and our site has passed the VeriSign malware scan. The biggest companies in the world secure their Web sites with VeriSign and inspire confidence by showing the VeriSign seal. is a trustworthy, crediable any loyal website with a VeriSign seal of approval.

TRUSTe® - The TRUSTE Cerification. The TRUSTe seal is a signal to consumers that a Web site is safeguarding your personal information and values your online privacy.

If you see a TRUSTe seal on StockCross' Privacy Policy, you can be confident that Web site is transparent about its privacy practices and respects your online privacy.

TRUSTe certifies StockCross in multiple programs and solutions to meet your privacy expections. Learn about TRUSTe programs and solutions and what they mean to you. Visit for more information.

FINRA Member

StockCross is a proud member of the Financial Industry Regulatory Authority (FINRA), the largest independent regulator of securities firms in the U.S.

FDIC Insured CDs

You may choose to invest in FDIC insured certificates of deposit as part of your StockCross portfolio. We offer FDIC insured CDs from a variety of local, regional, and national banks. Visit for more information.

Web-Based Platform

StockCross accounts and investment portfolios are completely web-based and accessible from any web browser or mobile device. This ensures that you will always access the latest version of the StockCross platform software and can view your account plan from anywhere with ease and flexibility. The platform has is 100% SaaS (Software as a Service) certified.


StockCross protects your account information through our 128-bit SSL encrypted security. We utilize a world-class data center and Savvis colocation protection and are SSAE16 Type II Certified, which provides full back-up and server redundancy.

We have a fully compliant Business Continuity Plan

and Disaster Recovery procedures designed to protect your account and minimize disruptions in the event of significant natural or other disasters which impact the markets or our facilities.

Privacy Protection

StockCross has adopted a privacy policy in accordance with SEC Regulation S-P. The firm does not share personally identifiable non-public financial information with unaffiliated third parties except to the extent necessary to provide customer service and meet regulation (such as verification of identification).

TRUSTe® Web Privacy

StockCross adheres to TRUSTe's strict online privacy principles which protects the privacy of your personal information. We back up the integrity of our seal programs with our online Watchdog Dispute Resolution program, which lets users hold TRUSTe clients accountable. Read the program requirements here.

Contact Us Online

or Call (800) 993-2015

Newsletter Sign Up

Employee Stock Plans 800.338.3965       StockCross Financial 800.993.2015             Customer Support


Brokerage Products and Services offered by StockCross Financial Services, Inc. - Member FINRA and SIPC.

Investors should consider the investment objectives, risks, charges and expenses carefully before investing. The prospectus and, if available, the summary prospectus contain this and other information about the investment company.  To obtain a prospectus contact StockCross at 800.993.2015. Read the prospectus carefully before investing.

Options involve risk and are not suitable for all investors. Detailed information on our policies and the risks associated with options can be found in the StockCross Options Application and Agreement, Customer Agreement, and by downloading the Characteristics and Risks of Standardized Options, and 2012 Supplements from The Options Clearing Corporation, or by requesting a copy from StockCross free of charge. 

Margin trading involves interest charges and risks, including the potential to lose more than deposited or the need to deposit additional collateral in a falling market. The Margin Disclosure Statement and Agreement (PDF) is available for download, or by requesting a copy from StockCross free of charge. 

Testimonials may not be representative of the experience of other clients and are no guarantee of future performance or success.

Copyright StockCross Financial Services, Inc. 2018.