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Kyle Stroud
CFP®
Program Manager (CEN)
Pompano Beach, FL
|
(954) 876-2341

Matthew Clark
Program Manager (HSB)
Dallas, TX
|
(972) 407-4951

Carla Schoolfield
BFA™
Registered Client Service Associate / Business Development Manager (CEN)
Tampa, FL
|
(813) 281-5107

Jeff Bank
Wealth Advisor (CEN)
Coral Springs, FL
|
(954) 905-2884

John Bertsch
CFP®
Wealth Advisor (HSB)
Plainview, TX
|
(806) 293-6900

Mark Bryant
Wealth Advisor (HSB)
Allen, TX
|
(214) 383-5707

Phil Carlisle
Wealth Advisor (CEN)
Jacksonville, AR
|
(501) 983-4252

Susan Conroy
ChFC®, CLU®, RICP®
Wealth Advisor (CEN)
Winter Park, FL
|
(407) 371-6811

Steve Cooper
MSFS, CFP®, ChFC®, CLU®, RICP®
Wealth Advisor (CEN)
Marathon, FL
|
(305) 676-3011

Corinne Crowley Hardee
AIF®, CFP®, APMA®
Wealth Advisor (CEN)
Panama City, FL
|
(850) 740-0672

Kathy Crowley
AIF®, CFP®
Wealth Advisor (CEN)
Panama City, FL
|
(850) 740-0672

Tom Dematti
AAMS®
Wealth Advisor (CEN)
Little Rock, AR
|
(501) 603-3709

Chris Erbeck
AAMS®, CRPS®
Wealth Advisor (CEN)
Sarasota, FL
|
(941) 328-6770

Pedro Escobar
Wealth Advisor (CEN)
Davie, FL
|
(954) 453-1749

Michael Flores
Wealth Advisor (HSB)
Fredericksburg, TX
|
(830) 304-5000

Tommy Green
CFP®
Wealth Advisor (CEN)
Cabot, AR
|
(501) 941-4224

Alan Guthrie
Wealth Advisor (CEN)
Jacksonville, AR
|
(501) 983-4252

Cara Hendricks
Wealth Advisor (HSB)
Amarillo, TX
|
(806) 342-2482

Bob Leffert
Financial Consultant (CEN)
Conway, AR
|
(501) 328-4678

Gessie M Lipscomb
CFP®, APMA®
Wealth Advisor (CEN)
Tampa Bay, FL
|
(813) 281-3481

Fred Miller
CRC®
Wealth Advisor (CEN)
Fairhope, AL
|
(251) 928-0362

Trice Newman
Wealth Advisor (HSB)
Lubbock, TX
|
(806) 293-6900

Ches Phelps
Wealth Advisor (HSB)
Lubbock, TX
|
(806) 293-6900

Dwaina Six
CFP®
Wealth Advisor (HSB)
Amarillo, TX
|
(806) 342-2482

Kevin Stryker
Financial Advisor (CEN)
Tampa Bay, FL
|
(813) 281-2233

Robert Vargas
Wealth Advisor (CEN)
Jupiter, FL
|
(561) 354-4281

Shirley Washam
Wealth Advisor (CEN)
Conway, AR
|
(501) 205-7570

Doug Wilson
Wealth Advisor (CEN)
North Little Rock, AR
|
(501) 603-3813
Disclosures
We have a partnership with Ameriprise Financial Services to provide financial planning services and solutions to clients. We are not an investment client of Ameriprise, but we have a revenue sharing relationship with them that creates a conflict of interest. Details on how we work together can be found on ameriprise.com/sec-disclosure.
Investment Products:
Not FDIC or NCUA Insured | No Financial Institution Guarantee | May Lose Value |
Ameriprise Financial Services, LLC is not an FDIC insured bank; FDIC insurance only covers the insolvency of FDIC-insured banks.
Ameriprise Financial and the financial institution are not affiliated.
Ameriprise Financial cannot guarantee future financial results.
Ameriprise Financial Planning Services are optional, offered separately, and priced according to the complexity of your case and your financial advisor’s practice fee schedule. Your fees and financial advisor may be subject to change.
Financial planning is generally appropriate if you have financial goals, sufficient assets and income to address your financial goals, and are willing to pay an investment advisory fee for recommendations to help you achieve those goals. Please review the Ameriprise Financial Planning Client Disclosure Brochure or, for a consolidated advisory relationship, the Ameriprise Managed Accounts and Financial Planning Service Disclosure Brochure, for a full description of services offered, including fees and expenses.
Ameriprise Financial, Inc. and its affiliates do not offer tax or legal advice. Consumers should consult with their tax advisor or attorney regarding their specific situation.
Investment advisory products and services are made available through Ameriprise Financial Services, LLC, a registered investment adviser.
Securities offered by Ameriprise Financial Services, LLC. Member FINRA and SIPC.
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