Paul Pitsironis, CMT, AIF®

Jericho, New York, 11753

 

My mission is to provide financial peace of mind by helping investors achieve their financial goals. These goals include a comfortable retirement as well as financial security both now and late in life. I accomplish all of these goals for investors by providing custom portfolio management and planning services. I have the skills to put a plan into action and to make the necessary decisions on how to grow, and sometimes more importantly, how to protect my clients money.
 

Background information

Sources of Financial Knowledge

Years of financial service experience

  • 14

Education

  • SUNY at Stony Brook (BA)

Certifications & Designations

  • CMT
  • AIF®

Association Memberships

  • Market Technicians Association
 

Key Business Practices

Methods of Compensation

  • Planning Services: Asset-based fee
  • Investment Services: Asset-based fee

Full Disclosure

  • I practice full disclosure for credentials, ethics, business practices, compensation, potential conflicts of interests, and financial services.

Scope of Current Business

  • Number of Clients: 126
  • Amount of Client Assets: $25,000,000

Primary Custodian(s)

  • RBC Wealth Management

Types of Financial Reports

  • Performance Report (Quarterly)
  • Custodial Report (Monthly)
  • Newsletter (Monthly)

Additional Business Practices

  • I provide a written agreement to clients before I provide any advice or services.
  • I work with remote clients over the telephone and Internet
  • My clients have online access to their financial data
  • I review my clients' financial plans with them quarterly, semi-annually, annually and upon request
  • I review my clients' investment portfolios with them quarterly, semi-annually, annually and upon request

Licensing, Registrations, Disclosures

Registration & Licensing

  • Paul Pitsironis is an Investment Advisor Representative
  • CRD/IARD Number: 2804907
  • Securities Licenses: Series 65, Series 63, Series 7, Seres 9 Series 10 (General Supervisor / Branch Manager)
  • Insurance Licenses: Life, Annuity, Long-Term Care, Disability

Company Names

  • Registered Investment Advisor: RBC Wealth Management
  • Broker/Dealer: RBC Wealth Management

Fiduciary Status

  • Acknowledged Fiduciary

Compliance Record

  • No Disclosures

Registered or licensed to provide financial advice, services, and products

  • Arizona
  • Connecticut
  • Florida
  • Georgia
  • New York
  • Pennsylvania
  • South Carolina
  • Wyoming
  • WDC
 

Financial Services & Products

Planning Services

  • Financial, Retirement, College, Estate, Tax, Charitable

Investment Services

  • Strategy Development, Written investment policy, Asset allocation, Performance Reporting

Investment Products

  • Mutual Funds, Securities, Commodities, Currencies, Exchange Traded Funds

Insurance Products

  • Life, Fixed Annuity, Variable Annuity, Long-Term Care

Tax Advice & Services

  • Tax Clients:
  • Tax Services:
 
Paladin Registry
 

Minimum Asset Requirement

Types of Clients

  • Individuals & Families
  • Businesses
  • Corporate Pension Funds
  • Public Pension Funds
  • Taft-Hartley Pension Funds
  • Nonprofit Organizations

Professional Services

  • Planning Advice & Services
  • Financial Advice & Services
  • Money Management
  • Investment Products
  • Insurance Advice
  • Insurance Products