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advisor

Minich MacGregor Wealth Management

21 Congress St, Ste 203

Saratoga Springs, NY 12866

5184994565

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About Minich MacGregor Wealth Management

From expert financial planning and meticulous portfolio management to insightful guidance on 401K & 403B plans, we're here to provide you with the knowledge and tools you need to confidently navigate your financial future.

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General Information

Firm Start Year

2009

No. of Employees

5-9

automated call

Yes

CRD#

2396461

Firm CRD#

151237

Years of Experience in Financial Services

33

Number of Years with Current Firm

16

Work with the following types of clients

Businesses, Individual Investors, Non-Profit Organizations

Advisory Services Provided

Financial Advice & Consulting, Investment Advice & Management, Financial Planning, Portfolio Management, Retirement Planning, 401K Rollovers, Wealth Management, Money Management, Risk Management, Financial Planning for Individuals, Financial Planning for Businesses, Education Funding and Planning

Compliance

Registered Investment Advisor

Yes

Acknowledged fiduciary

Yes

Compliance Disclosures in Last 5 years

I have a clean record

Criminal Disclosures in Last 5 years

I have a clean record

Firm Information

Firm's Number of Clients

850

Firm's Number of Planning Clients

250

Firm's Number of Managed Clients

850

Assets Managed by Firm

$850,000,000

Compensation and Fees

Fee Structure

Fee-Based

Minimum Portfolio Size for New Managed Accounts

$250,000

Compensation Methods

Based on Assets

Disclosures

RothIRA.org provides referrals to financial professionals. RothIRA.org is not a current client of advisor or advisory services. Financial professionals pay cash compensation for these referrals, which creates the incentive for RothIRA.org to make these referrals, resulting in a conflict of interest.

Additional Detailed Disclosures
https://www.rothira.org/disclosure/1893799/rothira-Minich-MacGregor-Wealth-Management-detailed-disclosure.html

Disclaimer

MinichMacGregor Wealth Management is registered as an investment advisor with the SEC and only transacts business in states where it is properly registered, or is excluded or exempted from registration requirements. SEC registration does not constitute an endorsement of the firm by the Commission nor does it indicate that the advisor has attained a particular level of skill or ability.

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