Broker Check

Daniel M. Juechter Named to Inaugural Financial Services Institute Advocacy Circle of Excellence

August 19, 2020

Recognized for Outstanding Commitment to Main Street Investors and the Independent Financial Services Industry

Tarrytown, NY – August 19, 2020 –
Hunter Financial Advisors is pleased to announce that the Financial Services Institute (FSI), the leading advocacy organization for the independent financial services industry, has named Daniel M. Juechter, AIF®, CFP®, CWS® to its inaugural Advocacy Circle of Excellence for his commitment to FSI’s advocacy mission, ensuring Main Street Americans’ access to affordable, professional financial advice.

“I am honored to be recognized among the inaugural FSI Circle of Excellence members,” said Dan. “FSI’s mission of educating elected officials and regulators on how independent financial advisors, such as myself, work with clients to secure their financial futures is essential. Working together, we can help Americans achieve their financial dreams.”

Members named to the Advocacy Circle of Excellence are determined by their contributions to the industry’s advocacy priorities and their dedication to the advancement of the profession.

“The steadfast commitment of our members is essential to ensuring Main Street Americans continue to have access to the affordable, professional financial advice that can help them achieve their financial goals,” said FSI President & CEO Dale E. Brown. “We are pleased to count Dan among our members, and we are very pleased to recognize him for his exceptional contributions to our work on behalf of our industry and Main Street American investors. Dan truly makes a difference in our profession, and we are grateful for his dedication and example.”


About the Financial Services Institute (FSI): The Financial Services Institute (FSI) is the only organization advocating solely on behalf of independent financial advisors and independent financial services firms. Since 2004, through advocacy, education and public awareness, FSI has successfully promoted a more responsible regulatory environment for nearly 90 independent financial services firm members and their 160,000+ affiliated financial advisors – which comprise over 60% of all producing registered representatives. We effect change through involvement in FINRA governance as well as constructive engagement in the regulatory and legislative processes, working to create a healthier regulatory environment for our members so they can provide affordable, objective advice to hard-working Main Street Americans. For more information, please visit The nominees do not pay a fee to participate.  Recognition by this organization is not a guarantee of future investment success and should not be construed as an endorsement of the advisor by any client.