VETTED

David Bobrowsky

CFP®, Chartered SRI Counselor, ChFC®, CLU®
Gateway Financial Advisors, Inc.
David Bobrowsky
Tel: 925-322-0799 1990 N California Blvd, 8th floor Suite #867 Walnut Creek, CA 94596
About David Bobrowsky
David has been directly advising clients as a financial planner for 25 years. David joined Gateway Financial Advisors, Inc. and became affiliated with Cambridge Investment Research, Inc. as a Registered Representative and Investment Advisor Representative in 2014 in order to be able to offer completely independent advice to his clients.

David has been a Certified Financial Planner practitioner since 2004. He earned the Chartered Life Underwriter® designation in 2005 and the Chartered Financial Consultant® designation in 2010, both through the American College of Bryn Mawr, PA. Recently, David completed additional training in 2020 to become a Chartered Socially Responsible Investing Counselor (CSRIC®) to better serve the needs of my clients desiring to incorporate their values in their portfolios with sustainable, responsible, and impact investments. David is a member of the Financial Planning Association and the Northern California Planned Giving Council.

David is a graduate of UCLA with a B.A. in Political Science, and also holds a M.A. and M.Phil. in Politics from NYU, where he pursued and published doctoral research on the causes and impact of the social investing movement.
About Gateway Financial Advisors, Inc.
David specializes in helping successful professionals review their current tax and investment situations to plan for retirement and help efficiently transfer their assets to their children, grandchildren and charitable beneficiaries.

Helping others get the objective information they need to make sense of their options, designing a roadmap that reflects the specific concerns he hears from his clients, and supporting them to make tough but educated decisions to help gain control over their financial lives has been David's mission since he began his career in financial planning in 2000.

As a CERTIFIED FINANCIAL PLANNER professional, David develops comprehensive financial planning strategies to help address client goals, and then help clients implement those strategies, often in coordination with clients' other professional advisors.

To learn more about David's fee based financial planning process, call to set up a complimentary initial consultation.
See Disclosures
General Information
Firm Start Year:

2000

No. of Employees:

1 Employee

Insurance License#:

CA 0D11810

Name of Broker/Dealer:

Cambridge Investment Research, Inc.

States Licensed in:

CA, CO, GA, HI, NM, NV, OR, VA and WA

Number of Years with Current Firm:

11

Work Experience:

Financial Planner:

Gateway Financial Advisors, Inc. June 2014 to Present

LPL Financial: 2009 to June 2014

Lincoln Financial Advisors: 2002 to 2009

American Express Financial Advisors: 2000 to 2002

Work with the following types of clients:

Individual Investors, Businesses

Advisory Services Provided:

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

Qualifications & Memberships
Insurance and Annuity Licenses:

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

Financial Organization Memberships:

Financial Planning Association (FPA), Northern California Planned Giving Council

Services
Investment Types:

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

Can meet clients in the following ways:

Your Office, Our Office, Your Home, Video Conference

Compensation and Fees
Fee Structure:

Fee-Based

Minimum Portfolio Size for New Managed Accounts:

$500,000

Compensation Methods:

Commissions, Hourly, Based on Assets

Fee % Based on Assets:

1-2%

Firm Information
Firm's Number of Clients:

60

Preferred meeting methods
I provide a free initial consultation:

Yes

Education
Bachelor of Arts - Political Science:
UCLA
September 1987 - June 1991
Master of Arts - Politics:
New York University
September 1992 - June 1994
Master of Philosphy - Politics:
New York University
July 1994 - May 2003
25 Years of Experience
CRD# 4261724Firm CRD# 39543Insurance License# CA 0D11810Series: 66, 7
Compliance
Registered RepresentativeYes
Investment Advisor RepresentativeYes
Acknowledged fiduciaryYes
Compliance Disclosures in Last 5 yearsI have a clean record
Criminal Disclosures in Last 5 yearsI have a clean record
Office Hours
Monday9:00 AM - 6:00 PM
Tuesday9:00 AM - 6:00 PM
Wednesday9:00 AM - 6:00 PM
Thursday9:00 AM - 6:00 PM
Friday9:00 AM - 5:00 PM
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