Wells Fargo Advisors Financial Network, Llc
St. Louis, Missouri
Wells Fargo Advisors Financial Network, LLC, headquartered in St. Louis, MO, is a leading national investment advisory firm with a robust presence across the United States. With a total of 2,705 employees, they offer a comprehensive range of financial services to meet the diverse needs of their clients. Of these employees, 1,730 are dedicated to providing expert investment advisory services. With an impressive track record, Wells Fargo Advisors Financial Network manages a substantial amount of assets, averaging approximately $38,960,000 per investment advisor. Their compensation structure is flexible and encompasses various types...
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Assets Under Mgmt

$103.11B

Investment Professionals

1730

Locations

866

% 401K & Individual

29%

% Discretionary

74%
Compensation Structure
A percentage of assets under your management
Hourly Charges
Fixed Fees
Commissions
Services Provided Section
Financial Planning Services
Portfolio management for individuals and/or small businesses
Portfolio management for businesses or institutional clients
Pension consulting services
Selection of other advisers
Other: INVESTMENT CONSULTING SERVICES TO INSTITUTIONAL CLIENTS
Other Business Activities
Broker-dealer (Registered or unregistered)
Other Financial product salesperson
Disclosures
Do any of the events below involve you or any of your supervised persons?
Charged with a felony (10 yrs)
SEC or CFTC found with a false statement or omission
SEC or CFTC violation of regulation or statutes
SEC or CFTC entered an order against you in connection to investment related activities
SEC or CFTC imposed civil money penalty or cease and desist from an activity
Found to have made false statement, ommision, unfair or Unethical by federal regulatory agency
Found to have been involved in a violation of investment regulations or statutes by Federal regulatory agency
Found to have caused investement-related business to lose authorization denied by federal regulatory agency
Orders brought against in connection to investment related activities (10yrs)
Had investment related business activity restricted by federal regulatory agency
Self-regulatory organization found you made a false statement or omission
Found to have been involved in a violation of self-regulatory organizations rules
Disciplined by self-regulatory organization or commodities exchange
Attorney, accountant, or federal contractor privileges been revoked or suspended
Currently the subject of any regulatory proceeedings previously talked about
Enjoined by domestic or foreign court in connect with investment-related activities (10 years)
Found to be involved in a violation of investment-related activities by domestic or foreign court
Civil action by state or foreign financial regulatory authority dismissed by domestic or foreign court
Now the subject of a civil proceeding involving previous disclosures
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