This communication is for use by the intended recipient(s) only and may contain information that is privileged, confidential and exempt from disclosure under applicable law. If you are not an intended recipient of this communication, you are hereby notified that any dissemination, distribution or copying hereof is strictly prohibited. Simplicity Group Holdings subsidiaries include Simplicity Financial Investment Services, Member FINRA, Simplicity Wealth LLC and Simplicity Solutions LLC,  SEC Registered Investment Advisors. If you have received this communication in error, please notify me by reply e-mail, permanently delete this communication from your system, and destroy any hard copies you may have printed. This communication is covered by the Electronic Communications Privacy Act, 18 U.S.C. §§ 2510 – 2521. InsurMark, Inc. and its employees may provide advisors with sales collateral, illustrations, education, and additional supporting materials. In providing such information and materials, InsurMark is not undertaking to provide impartial investment advice to advisors, their employees or clients and is not acting as a fiduciary. These materials are to be considered informational only to support the advisor in his/her best interest review process. InsurMark has a financial interest in the sale of insurance products, but product recommendations can only be made by a licensed advisor, who thoroughly reviews and understands the client’s current financial situation, performs a detailed needs analysis, and a best interest review. Securities offered through Simplicity Financial Investment Services, Inc. Member FINRA

YES, I’D LIKE TO LEVEL UP MY BUSINESS IN 2024!