His Experience

Reliable, experienced, qualified

After teaching, I worked in financial futures and options in Chicago at the Chicago Mercantile Exchange. I have remained a member and stockholder of the CME for over 20 years. I have been in the financial services industry for the past 20 years and have obtained an insurance license and a series 7 and a series 63 securities license. In addition, I am a Certified Financial Planner™, and a Certified Retirement Planning Counselor, recognized by the Board of Standards, Inc. in Denver, CO. Also, I am a Registered Health Underwriter, a Chartered Life Underwriter, and a Chartered Financial Consultant, all recognized by the American College in Pennsylvania.

Independent, knowledgeable, patient

Some advisors will try to fix a problem by offering one solution and no more. With the knowledge I have collected over the years, I try to take into account all options and possibilities for your benefit. These options can be adapted to fit clients’ specific needs, goals, and situations. My clients are able to make informed decisions with a variety of preferences and not get locked into one solution.

A steady hand on the wheel

John Stitt Inc. wants to help you make intelligent, well-informed decisions regarding your employee benefits, pension and financial plan. With his knowledge and dedication, John Stitt will help you to steer a course to your desired destination, using his 20 years experience as a Pension and Employee Specialist. Come aboard.

John Stitt, CFP, CLU, ChFC, RHU, CRPC
1375 New Haven,
Cary, IL 60013

Securities and advisory services offered through World Equity Group, Inc. 1650 N. Arlington Heights Rd., Suite 100, Arlington Heights, IL 60004. 847-342-1700. Member FINRA/SIPC. FINRA/SIPC.

Securities licensed to conduct business in the following states: AZ, GA, IA, IL, IN, MI, MO, TN, WI

John H. Stitt or John Stitt, Inc. and any of its employees acting as an agent, may only transact business in a particular state if first registered, excluded or exempted from registration requirements whether individually or as a firm. In addition, follow up conversations or meetings with individuals in a particular state by John H. Stitt or John Stitt, Inc. or its employees acting as an agent, to effect transactions in securities, investment planning, or other personal investment advice will not be made without first becoming registered, excluded, or exempted from registration requirements either individually or as a firm.

This site has been published in the United States for residents of the United States. The foregoing has been prepared solely for information purposes, and is not an offer to buy or sell or a solicitation of an offer to buy or sell any security or instrument or to participate in any particular trading strategy.