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Investment Adviser Representative Summary

GARY LYNN GUNNING (CRD# 1079404)

The report summary provides an overview of the Investment Adviser Representative's professional background and conduct. The information contained in this report has been provided by the Investment Adviser Representative, investment adviser and/or securities firms, and/or securities regulators as part of the states' investment adviser registration and licensing process. The information contained in this report was last updated by the Investment Adviser Representative, a previous employing firm, or a securities regulator on 04/18/2018.

CURRENT EMPLOYERS

SAGEPOINT FINANCIAL, INC.
IARD# 133763
9171 TOWNE CENTER DRIVE
SUITE 500
SAN DIEGO, CA  92122
Registered with this firm since: 10/31/2005

MMA SECURITIES LLC
IARD# 44254
9171 TOWNE CENTRE DRIVE
Suite 500
San Diego, CA  92122
Registered with this firm since: 09/01/2015


QUALIFICATIONS


This Investment Adviser Representative is currently registered in 16 jurisdiction(s).

Is this Investment Adviser Representative currently suspended with any jurisdiction? No

Note: Not all jurisdictions require IAR registration or may have an exemption from registration.
Additional information including this individual's qualification examinations and professional designations is available in the Detailed Report.

REGISTRATION HISTORY


This Investment Adviser Representative was previously registered with the following Investment Adviser firms:

FIRM (IARD#) - LOCATION REGISTRATION DATES
MMC SECURITIES CORP. (IARD# 103846) -  San Diego, CA
11/06/2014 - 09/15/2015
SUNAMERICA SECURITIES, INC. (IARD# 20068) -  SAN DIEGO, CA
11/24/2003 - 10/31/2005
WACHOVIA SECURITIES FINANCIAL NETWORK, LLC (IARD# 11025) -  SAN DIEGO, CA
05/15/2002 - 12/11/2003
For additional registration and employment history details as reported by the individual, refer to the Registration and Employment History section of the Detailed Report.

DISCLOSURE INFORMATION


Disclosure events include certain criminal charges and convictions, formal investigations and disciplinary actions initiated by regulators, customer disputes and arbitrations, and financial disclosures such as bankruptcies and unpaid judgments or liens.
Are there events disclosed about this Investment Adviser Representative? No

BROKER DEALER INFORMATION


This individual is registered as a broker and an investment adviser representative. For more information about this individual's record as a broker, visit FINRA's BrokerCheck website at: http://www.finra.org/brokercheck