RIA Data Center

Use this interactive rankings tool to find key information on fee-only registered investment advisory firms*.

Sort by business name or assets under management, or use the filters offered to tailor the entire RIA universe to your liking.

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    Rank Business Name Avg. account AUM Discretionary AUM Non-discretionary AUM Total AUM
    1951BELLEVUE ASSET MANAGEMENT, LLC$563,790$323,615,382$323,615,382
    1952NEW MILLENNIUM GROUP$206,096$158,487,570$158,487,570
    1953103 ADVISORY GROUP$3,467,708$131,772,905$131,772,905
    19541 NORTH WEALTH SERVICES, LLC$379,841$264,369,164$264,369,164
    1955WEALTH MANAGEMENT GROUP$402,285$320,620,868$320,620,868
    1956YODER WEALTH MANAGEMENT$640,073$207,383,534$207,383,534
    1957GRUPP FINANCIAL LLC$3,714,680$104,011,029$104,011,029
    1958DOUBLE BAY MANAGEMENT & PLANNING$1,235,446$112,425,565$112,425,565
    1959CITRINE CAPITAL$358,119$192,310,021$192,310,021
    1960WILSEY ASSET MANAGEMENT INCORPORATED$348,077$479,650,469$479,650,469
    1961THE HELMSTAR GROUP, LLC$267,793$341,704,173$341,704,173
    1962CONVERGENT WEALTH MANAGEMENT, LLC$490,671$116,289,000$116,289,000
    1963PRIVATE ASSET MANAGEMENT INC$735,821$1,003,660,304$1,003,660,304
    1964PACIFIC GLOBAL INVESTMENT MANAGEMENT CO$848,320$717,678,502$717,678,502
    1965WEALTH ANALYTICS PARTNERS, LLC$619,426$250,248,174$250,248,174
    1966SIGMA INVESTMENT COUNSELORS$674,246$1,669,433,210$1,669,433,210
    1967CURRAN FINANCIAL PARTNERS, LLC$129,399$295,416,902$295,416,902
    1968CASSIA CAPITAL PARTNERS LLC$478,495$164,123,645$164,123,645
    1969NPF INVESTMENT ADVISORS$1,071,388$2,310,983,746$2,310,983,746
    1970FAIRVIEW CAPITAL$2,776,276$1,646,331,424$1,646,331,424
    1971MRA ADVISORY GROUP$205,431$214,059,213$214,059,213
    1972EAGLE ROCK INVESTMENT COMPANY, LLC$3,908,547$515,928,263$515,928,263
    1973PROVIDENCE FINANCIAL AND INSURANCES, INC.$104,895$119,265,165$119,265,165
    1974FINANCIAL FREEDOM FOR DENTISTS LLC$332,000$116,200,000$116,200,000
    1975BROMFIELD SNEIDER WEALTH ADVISORS, INC.$1,476,335$432,566,267$432,566,267
    1976NAVALIGN, LLC$306,731$490,462,316$490,462,316
    1977BISHOP & COMPANY INVESTMENT MANAGEMENT, LLC$718,666$330,586,159$330,586,159
    1978CANVAS WEALTH ADVISORS, LLC$385,568$491,985,186$491,985,186
    1979BALLAST CAPITAL ADVISORS, LLC$1,880,593$261,402,490$261,402,490
    1980VAWTER FINANCIAL LTD$327,473$215,477,134$215,477,134
    1981CAPITAL FINANCIAL ADVISORS OF NEW YORK, LLC$412,556$184,000,000$184,000,000
    1982CLAYBROOK CAPITAL, LLC$4,361,107$353,249,694$353,249,694
    1983SAGE HILL CAPITAL$575,282$158,202,436$158,202,436
    1984GEM ASSET MANAGEMENT, LLC$431,332$414,078,422$414,078,422
    1985SIGNET FINANCIAL MANAGEMENT, LLC$528,643$959,486,220$959,486,220
    1986STRATEGIC ADVISORY SERVICES, L.L.C.$404,380$152,855,585$152,855,585
    1987BRIAN D. LOWDER, INC.$611,912$377,549,404$377,549,404
    1988JENTNER WEALTH MANAGEMENT$585,841$529,600,647$529,600,647
    1989RIGGS CAPITAL MANAGEMENT, LLC$716,151$269,272,732$269,272,732
    1990FINANCIAL ADVISORY SERVICES, LLC$231,528$181,749,115$181,749,115
    1991HENRY H. ARMSTRONG ASSOCIATES, INC.$7,328,180$1,055,257,923$1,055,257,923
    1992WHITE OAKS WEALTH ADVISORS, INC.$2,055,423$503,578,561$503,578,561
    1993CAFG WEALTH MANAGEMENT, INC.$935,469$223,577,113$223,577,113
    1994SECOND HALF FINANCIAL PARTNERS, LLC$202,712$240,416,458$240,416,458
    1995WAYCROSS INVESTMENT MANAGEMENT CO$506,313$158,476,095$158,476,095
    1996DISCIPLINED EQUITY MANAGEMENT, INC.$503,479$339,848,079$339,848,079
    1997FIRST MASON FINANCIAL, LLC$233,794$134,665,528$134,665,528
    1998AVION WEALTH$319,734$611,011,081$611,011,081
    1999PARROTT WEALTH MANAGEMENT, LLC$469,752$161,125,000$161,125,000
    2000SILVER OAK WEALTH ADVISORS SERVICES, LLC$466,595$210,901,037$210,901,037
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    Purchase the data and information contained in the RIA Data Center in an Excel spreadsheet.

    For more information about the RIA Data Center, please contact InvestmentNews Research.

    Reprints: For reprints of these rankings, please contact Caroline Murphy.

    *Methodology: InvestmentNews qualified 2,756 firms headquartered in the United States based on data reported on Form ADV to the Securities and Exchange Commission. To qualify, firms must have met the following criteria: (1) latest ADV filing date is either on or after January 1, 2020, (2) total AUM is at least $100M, (3) does not have employees who are registered representatives of a broker-dealer, (4) managed assets for individual clients during its most recently completed fiscal year, (5) no more than 50% of amount of regulatory assets under management is attributable to pooled investment vehicles (other than investment companies), (6) no more than 25% of amount of regulatory assets under management is attributable to pension and profit-sharing plans (but not the plan participants), (7) no more than 25% of amount of regulatory assets under management is attributable to corporations or other businesses, (8) does not receive commissions, (9) provides financial planning services, (10) is not actively engaged in business as a broker-dealer (registered or unregistered), (11) is not actively engaged in business as a registered representative of a broker-dealer, (12) has neither a related person who is a broker-dealer/municipal securities dealer/government securities broker or dealer (registered or unregistered) not one who is an insurance company or agency.

    Database last updated on July 2021.