Bryan is originally from New Jersey and has lived in Florida since 1988. Bryan began his career just before BLACK MONDAY on Wall Street on October 19, 1987, and witnessed firsthand how quickly markets can crash dreams. While working on Wall Street, he gained great respect for the power of the market, both positive and negative. Bryan is an Investment Adviser Representative An official distinction that sets him apart from many financial advisers is that he is a completely independent fiduciary financial planner. A fiduciary is required to be completely objective when making financial, investment, and planning recommendations.
Bryan works for his clients, not for Wall Street. He does not owe allegiance to any brokerage firm, financial product, fund family, or investment. This allows him the freedom to make unbiased, prudent decisions and he MUST put his client’s interests above all others.
Investment Adviser Representative of and advisory services offered through Royal Fund Management, LLC, a SEC Registered Advisory Firm
Insurance: Insurance product guarantees are subject to the claims-paying ability of the issuing company. The adviser is paid commissions on the sale of insurance products. Advisory: Advisory services are offered through Royal Fund Management, LLC, which is registered as an investment adviser 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 adviser has attained a particular level of skill or ability. All investment strategies have the potential for profit or loss. Changes in investment strategies, contributions or withdrawals, and economic conditions may materially alter the performance of your portfolio. Different types of investments involve varying degrees of risk, and there can be no assurance that any specific investment or strategy will be suitable or profitable for a client’s investment portfolio. There are no assurances that a client’s portfolio will match or outperform any particular benchmark. Tax and legal information provided is general in nature and is subject to change. Always consult an attorney or tax professional regarding your specific legal or tax situation. Licensed Insurance Agent | Florida License # A060754
Recent episodes from Mike Saunders, MBA (see all)
- Interview with Nick Bliss, Partner & Financial Advisor with Clear Strategy , Discussing Legacy & Estate Planning - September 28, 2022
- Ep #14- Interview with Dr. Carolina M. Sueldo, MD MSc FACOG with Nick Bour Founder of Inspire Wealth - September 28, 2022
- Ep. #21 – Karen Abrams – Define Your Path with Dr. Virginia LeBlanc “DocV”, The Pivot Maestro. - September 27, 2022