We are on your side

Financial advisors with the Wealth Management Advisory Center will work with you over the phone or online to help you pursue the financial goals that matter most to you. Our goals-focused approach sheds light on your priorities and creates a plan to help you get there.

How we can help

Our collaborative approach to your financial plan is supported by the latest online technology, which means you’ll have access to personalized financial advice when, where and how it’s easiest for you. You’ll get:

  • The latest financial planning tools to monitor your progress, test different planning strategies and create what-if scenarios, safely and securely online

  • An investment professional that’s there to support you through email, phone or video call

  • Screen sharing via CoBrowse, which lets you securely share your screen with an advisor for step-by-step assistance

  • Secure document sharing that enables you to share important and confidential electronic documents safely

  • E-signature technology for quick, convenient and secure electronic signatures

Meet the financial advisors on our team

Learn more about the advisors on our team and their qualifications for helping you with your investment needs. 

Financial advisors are available Monday through Friday, 8:00am to 6:00pm Central time.

Specializing in wealth management advisory services, including:

 

Financial planning

Our unique approach is designed to help you become more engaged, make progress toward your goals and keep track of all aspects of your financial life.

Automated Investor

Automated Investor is a robo-advisor that combines our investing expertise with technology to automatically manage your investments.

Insurance

Protect what matters most with personalized life, disability and long-term care insurance strategies.

Investments

We’ll help you create a diversified portfolio that may include different types of assets, including exchange-traded funds (ETFs)1 to work toward specific investment goals.

Self-directed investing

Gain control and manage your investment portfolio the way you want with a self-directed brokerage account.

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Disclosures

  1. Exchange Traded Funds (ETFs) are subject to risks similar to those of stocks, such as market risk. Investing in ETFs may bear indirect fees and expenses charged by ETFs in addition to its direct fees and expenses, as well as indirectly bearing the principal risks of those ETFs. ETFs may trade at a discount to their net asset value and are subject to the market fluctuations of their underlying investments.

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Investment and insurance products and services including annuities are:
Not a deposit • Not FDIC insured • May lose value • Not bank guaranteed • Not insured by any federal government agency.

U.S. Investments is a marketing logo for U.S. Bancorp Investments Inc.

Investment and insurance products and services including annuities are available through U.S. Bancorp Investments, the marketing name for U.S. Bancorp Investments, Inc., member FINRA and SIPC, an investment adviser and a brokerage subsidiary of U.S. Bancorp and affiliate of U.S. Bank.

U.S. Bancorp Investments is registered with the Securities and Exchange Commission as both a broker-dealer and an investment adviser. To understand how brokerage and investment advisory services and fees differ, the Client Relationship Summary and Regulation Best Interest Disclosure are available for you to review.

Insurance products are available through various affiliated non-bank insurance agencies, which are U.S. Bancorp subsidiaries. Products may not be available in all states. CA Insurance License #0E24641.

Pursuant to the Securities Exchange Act of 1934, U.S. Bancorp Investments must provide clients with certain financial information. The U.S. Bancorp Investments Statement of Financial Condition is available for you to review, print and download.

The Financial Industry Regulatory Authority (FINRA) Rule 2267 provides for BrokerCheck to allow investors to learn about the professional background, business practices, and conduct of FINRA member firms or their brokers. To request such information, contact FINRA toll-free at 1-800‐289‐9999 or via https://brokercheck.finra.org. An investor brochure describing BrokerCheck is also available through FINRA.

U.S. Bancorp Investments and its representatives do not provide tax or legal advice. Your tax and financial situation is unique. You should consult your tax and/or legal advisor for advice and information concerning your particular situation.

U.S. Bancorp Investments Order Processing Information.

Municipal Securities Education and Protection– U.S. Bancorp Investments is registered with the U.S. Securities and Exchange Commission and the Municipal Securities Rulemaking Board (MSRB). An investor brochure that describes the protections that may be provided to you by the MSRB rules and how to file a complaint with an appropriate regulatory authority is available to you on the MSRB website at www.msrb.org.