United Safeguard Financial Group Helping You To Secure Your Retirement

Meet Our CEO

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John C. Schnorr | President

John Schnorr is the CEO and founder of United Safeguard Financial Group. He has over 20 years of experience designing portfolios to help retirees make more informed decisions to build a strong financial future. John established his own firm built on the philosophy of always giving advice that is in the best interest of his clients. 


John has previously passed the securities exams 6, 63, & 26, and currently holds the Series 65 license. He also holds his life, health and long term care insurance licenses. He completed a Bachelor degree in Communications from the University of New Mexico. He has worked as a supervisory principal for two brokerage firms where he was responsible for supervising and training over 100 advisors. In addition he is also a member of the National Ethics Association. 


John is also the founder and CEO of 401k Rollover Consultants. The firm’s primary focus is helping clients who are retiring or will be retiring and are in need of rolling over their 401k, qualified plan, or pension plan. 


John specializes working with clients who are nearing retirement or who are already retired. He has a deep understanding of the economy and the dilemmas retirees are facing today. Through his financial workshops and past radio shows, he has taught and advises thousands of retirees strategies designed to help grow their retirement assets without taking unnecessary risks. 


John is a Fiduciary Financial Planner and Licensed Investment Advisor Representative providing fee based investment advisory services through Brookstone Capital Management, LLC. Through his team of institutional money managers and CFPs he works with his clients to design a portfolio to meet their individual needs.


To schedule a time to discuss your financial future and the possible role of insurance or investments in your financial strategy, contact us online or call the office at (972) 905-9998 today!


By contacting us, you may be offered information regarding the purchase of insurance and investment products.


Investment Advisory Services offered through Brookstone Capital Management, LLC, an SEC Registered Investment Advisor

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