VETTED

Scott Foties

CEPA®, CFP®
Scott Foties
Tel: 323-691-7658 1502 Dianne La Corona, CA 92881
About Scott Foties
Financial planning is not only my career but more importantly, I regard it as my ministry, and my primary calling in life, second only to my faith in Jesus Christ, and to my family.

I began my career as a Financial Advisor in 2010 and I specialize in retirement planning for individuals and business owners, as well as financial planning for special needs families and divorcees. I am a graduate of Villanova University and hold a bachelor's degree in Economics. In addition to my CERTIFIED FINANCIAL PLANNER® certification, I hold a Finra Series 7 general securities license, and Series 66 uniform combined state securities license through LPL Financial, and a California life and health Insurance license.

My wife Kathy and I reside in the city of Corona CA, where I have been a resident for over 24 years. I enjoy being active in my community as well as in my church, Olive Branch Community Church.

Since I value a client's time, I make myself available to meet with them face to face at their homes, their place of business, or remotely via Zoom or Webex, if necessary. In my spare time I enjoy baseball (I am an avid New York Yankees fan), fishing, physical fitness, and volunteering at Olive Branch.

An effective financial plan is a powerful tool. Reaching your long-term financial objectives hinges on having the right one -- one that fits your unique circumstances and grows with you. Financial planning is not a cookie cutter endeavor. No two clients situations are the same. Thats why it is so important for me to understand my clients complete situation. So that the plan we create can be designed to pursue their unique needs.

Please call today if you think your plan is out-of-date. Most people need to update their financial plan each year to help ensure that it is in step with their life. I would consider it an honor to have the opportunity to earn your business.
About LPL Financial
LPL Financial (Nasdaq: LPLA) was founded on the principle that the firm should work for the advisor, and not the other way around. Today, LPL is a leader* in the markets we serve, supporting more than 18,000 financial advisors, 800 institution-based investment programs and 450 independent RIA firms nationwide. We are steadfast in our commitment to the advisor-centered model and the belief that Americans deserve access to personalized guidance from a financial advisor. At LPL, independence means that advisors have the freedom they deserve to choose the business model, services, and technology resources that allow them to run their perfect practice. And they have the freedom to manage their client relationships, because they know their clients best. Simply put, we take care of our advisors, so they can take care of their clients. For more information about LPL Financial, visit www.lpl.com.
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General Information
Firm Start Year:

1926

Insurance License#:

0H23248

States Licensed in:

AZ, CA, CO, FL, GA, KY, NV, OR

Number of Years with Current Firm:

2

Work Experience:

Independent Financial Advisor- Certified Financial Planner® LPL Financial · Full-time Sep 2023 - Present Corona Ca

Financial Advisor Merrill Lynch Wealth Management Jun 2018 - Sep 2023 Riverside Ca.

AVP Financial Solutions Advisor Bank of America Merrill Edge Sep 2017 - May 2018 Corona Ca

Independent Financial Advisor LPL Financial Dec 2015 - Sep 2017

Financial Advisor Edward Jones Aug 2010 - Dec 2015

Work with the following types of clients:

Businesses, Individual Investors

Advisory Services Provided:

Financial Advice & Consulting, Investment Advice & Management, Insurance Products & Annuities, Financial Planning, Portfolio Management, Retirement Planning, Money Management, Risk Management, Education Funding and Planning, Financial Planning for Individuals, Financial Planning for Businesses, Wealth Management

Qualifications & Memberships
Insurance and Annuity Licenses:

Long Term Care, Variable Annuity, Life, Health, Annuity, Disability

Services
Investment Types:

Mutual Funds, Bonds, Stocks, Annuities, Insurance, Exchange Traded Funds (ETFs), Alternative Investments, Socially Responsible Investments (SRI)

Can meet clients in the following ways:

Your Office, Phone, Video Conference, Your Home, Our Office

Compensation and Fees
Fee Structure:

Fee-Based

Minimum Portfolio Size for New Managed Accounts:

$100,000

Compensation Methods:

Based on Assets, Commissions, Flat Fee, Hourly

Fee % Based on Assets:

.08-1.3

Hourly Rate:

$200

Minimum Fee Charged for Managed Accounts:

$1000/yr

Minimum Fee Charged for Hourly Planning Accounts:

$200/hr

Firm Information
Advisor's Number of Clients:

40

Advisor's Number of Managed Clients:

25

Advisor's Number of Planning Clients:

25

Total Assets Under Management by Advisor:

30,000, 000

Preferred meeting methods
I provide a free initial consultation:

Yes

Education
BA - Economics:
Villanova University - Villanova Pa
1973 - 1977
BA - Economics:
Villanova University - Villanova Pa
1973 - 1977
15 Years of Experience
CRD# 1271139Firm CRD# 6413Insurance License# 0H23248Series: 66, 7
Compliance
Registered RepresentativeYes
Investment Advisor RepresentativeYes
Compliance Disclosures in Last 5 yearsI have a clean record
Criminal Disclosures in Last 5 yearsI have a clean record
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