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This website notice will be updated from time to time to reflect any material revisions, so please check back often to review the statement.
Protecting your privacy is very important to us. We want you to understand what information we collect and how we use it. We collect and use personally identifiable information in order to provide our customers with a broad range of financial products and services as effectively and conveniently as possible.
What Information We Collect and From Whom We Collect It
We may collect personally identifiable information about you from the following sources:
If you do not want to provide this information to us via the Internet, please contact us at (770) 246-9889 to assist you.
What Information We Disclose and To Whom We Disclose It
We do not disclose any personally identifiable information about you to either “our affiliates” or non-affiliates without your express consent, except as permitted by law. We may disclose the nonpublic personal information we collect to persons or companies that perform services on our behalf, that provide services to you, to financial institutions with which we have joint marketing agreements, and as required by law (for example regulators and law enforcement agencies).
“Our affiliates” are companies with which we share common ownership or control and which offer insurance, pension, savings or investment products.
This site is not directed towards children and we do not intend to market any products or services to children under thirteen (13) years of age. We do not knowingly gather or solicit data from children under thirteen (13) years of age through this site for any reason. By using this site you represent that you are not under thirteen (13) years of age.
Our Security Procedures
We restrict access to your personal information and only allow disclosures to persons and companies as permitted by law to assist in providing products or services to you. We maintain physical, electronic, and procedural safeguards to protect your personal information. For more about security for this site, see “Security” section on the Terms and Conditions page .
The AEGON companies to which this Privacy Statement applies:
This statement applies to the following companies:
World Financial Group Inc.
World Financial Group Insurance Agency, Inc.
World Financial Group Insurance Agency of Hawaii, Inc.
World Financial Group Insurance Agency of Wyoming, Inc.
World Financial Group Insurance Agency of Massachusetts, Inc.
WFG Insurance Agency of Puerto Rico, Inc.
World Financial Group Insurance Agency of Canada Inc.
WFG Securities of Canada Inc.
Transamerica Financial Partners.
Privacy Notice available to customers:
Customers receive copies of our Privacy Notice as required by law or upon any material revision in our privacy practices. For a copy of our Privacy Notice you may click below.
Please contact us with any questions or comments at (770) 246-9889.
Securities and Investment Advisory Services offered through Transamerica Financial Advisors, Inc. (TFA), Transamerica Financial Group Division - Member FINRA, SIPC, and Registered Investment Advisor. Non-Securities products and services are not offered through TFA. World Financial Group, Inc. (WFG) is a financial services marketing company whose affiliates offer a broad array of financial products and services. Insurance products offered through World Financial Group Insurance Agency, Inc.(WFGIA), World Financial Group Insurance Agency of Hawaii, Inc., World Financial Group Insurance Agency of Massachusetts, Inc., World Financial Group Insurance Agency of Wyoming, Inc., World Financial Insurance Agency, Inc. and/or WFG Insurance Agency of Puerto Rico, Inc. WFG, WFGIA and TFA are affiliated companies.
This site is published for residents of the United States only. Transamerica Financial Advisors, Inc., Transamerica Financial Group Division representatives may only conduct business with residents of the states for which they are properly registered. Therefore, a response to a request may be delayed. Please note that not all of the investments and services mentioned are available in every state. Investors outside of the United States are subject to securities and tax regulations within their applicable jurisdictions that are not addressed on this site.
A broker/dealer, investment advisor, BD agent or IA rep may only transact business in a particular state after licensure or satisfying qualifications requirements of that state, or only if they are excluded or exempted from the states broker/dealer, investment advisor, or BD agent or IA rep requirements, as the case may be; and follow-up, individualized responses to consumers in a particular state by broker/dealer, investment advisor, BD agent or IA rep that involve either the effecting or attempting to effect transactions in securities or the rendering of personalized investment advice for compensation, as the case may be, shall not be made without first complying with the states broker/dealer, investment advisor, BD agent or IA rep requirements, or pursuant to an applicable state exemption or exclusion.