Our goal at Csenge Advisory Group is to be a premier wealth management company. Over the last 30-plus years we have offered individuals and businesses the most personalized and comprehensive financial counsel available. We are founded on the principle of providing truly objective advice to our clients, and we pride ourselves on fostering relationships based on trust, unparalleled service and integrity. Through our team's commitment to upholding the highest ethical and professional standards, and our freedom from product commissions, our advisors can provide you with completely independent advice.

As your partners in retirement, we offer products and services that assist clients in every aspect of their financial life. That includes financial planning, asset management and allocation, retirement planning, investments and risk management. Our team of financial specialists is committed to intensive, real-time portfolio management designed to ease you toward a stable, financial independence. Now that's wealth management.

What Sets Us Apart

25 years as CERTIFIED FINANCIAL PLANNERS™ - the highest recognized standard of excellence for personal financial planning. Held to a Fiduciary standard

Chartered Financial Analyst (CFA) - member of an elite group of Analysts within the financial business. The CFA® is considered throughout the world as the gold standard for investment analysis.

Accredited Investment Fiduciary (AIF®) - acquired knowledge of fiduciary responsibility and an invaluable resource to investment fiduciaries and individual investors alike. Necessary training completed to ensure that an investment process is managed to an appropriate fiduciary standard of care.

  • Daily monitoring of your portfolio through our proprietary strategy
  • Fee-based services for fully objective advice
  • Face-to-face meetings (in our office or at your home)
  • Status and performance updates every 90 days



4755 East Bay Dr., Clearwater, FL 33764  |  tel (727) 437-6000  |  toll free (888) 500-2050  |  fax (727) 437-6650

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PLEASE NOTE: The information being provided is strictly as a courtesy. When you link to any of the web sites provided here, you are leaving this web site. We make no representation as to the completeness or accuracy of information provided at these web sites. Nor is the company liable for any direct or indirect technical or system issues or any consequences arising out of your access to or your use of third-party technologies, web sites, information and programs made available through this web site. When you access one of these web sites, you are leaving our web site and assume total responsibility and risk for your use of the web sites you are linking to. Securities and investment advisory services offered through FSC Securities Corporation, Member FINRA/SIPC and a registered investment adviser. Additional investment advisory services offered through Csenge Advisory Group LLC, a registered investment adviser not affiliated with FSC Securities Corporation. This communication is strictly intended for individuals residing in the states where the registered representative is registered to conduct securities business. No offers may be made or accepted from any resident outside the specific state(s) referenced AL, AZ, AR, CA, CO, CT, DC, DE, FL, HI, IA, IL, KS, KY, LA, MA, MI, MN, MO, MS, MT, NC, ND, NE, NJ, NM, NV, NY, OH, OK, OR, PA, RI, SC, SD, TN, TX, UT, VA, WA, WV. IMPORTANT CONSUMER INFORMATION A Broker/dealer, investment adviser, BD agent, or IA rep may only transact business in a state if first registered, or is excluded or exempt from state broker/dealer, investment adviser, BD agent, or IA registration requirements as appropriate. Follow-up, individualized responses to persons in a state by such a firm or individual that involve either effecting or attempting to effect transactions in securities, or the rendering of personalized investment advice for compensation, will not be made without first complying with appropriate registration requirements, or an applicable exemption or exclusion. For information concerning the licensing status or disciplinary history of a broker/dealer, investment, adviser, BD agent, or IA rep, a consumer should contact his or her state securities law administrator.