Find Top Financial Advisors in Fulton, Maryland

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There are hundreds of financial professionals in your area. However, choosing the right advisor that understands your financial situation and meets your needs may be quite daunting. WiserAdvisor has a network of vetted financial advisors and advisory firms and has listed them below. You can find the details of each advisor, such as their qualifications, service offerings, etc. that you could use while searching for the financial advisor that best suits your financial and investment goals.

We have been in business for the last 2 decades and constantly update and maintain a highly trusted directory of vetted fiduciary advisors that meet rigorous standards.

Finding the Top Financial Advisor in Fulton, Maryland
Last Updated - 21-Jan-2023

Fulton has 11 WiserAdvisor vetted Financial Planners and Advisors for you to choose from and 1 non-vetted advisors in your local area. These financial advisors in Fulton, Maryland have an average of 17 years of experience.

NOTE: The list of financial advisors in Fulton, Maryland mentioned below do not include all the advisors in our network due to their compliance listing restrictions. More vetted advisors may be available when you use our free match service to compare financial advisors near you in Fulton, Maryland.

Qualified Financial Advisors in Fulton, Maryland
Financial Advisor Experience AUM Minimum Assets Fee Structure
Doug Miller J.D.
6011 University Blvd Suite 370,
Ellicott City, MD 21043
21 $61,000,000.00 $500,000.00 Fee-Based
Erich Imphong
8401 Connecticut Ave,
Suite 400,
Chevy Chase, MD 20815
13 Not Specified Not Specified Fee-Based
David Middleton
3 Bethesda Metro Center,
Suite 700,
Bethesda, MD 20814
14 ~$16,000,000 $500,000 Fee-Only
Scott Butera
6701 Democracy Blvd Suite 300, Offices 362 & 365,
Bethesda, MD 20817
25 Not Specified $250,000 Fee-Only
Michael T. Jobe
4100 W Street N.W. 213,
Washington, DC 20007
10 $47,000,000 50,000 Fee-Based
Michael Feeley
76784, AAMS®
1717 Pennsylvania Ave NW suite 1050,
Washington, DC 20006
12 Not Specified Not Specified Fee-Based
Bryan Beatty
Accredited Investment Fiduciary® (AIF), CFP®
1919 Gallows Rd, Suite 980,
Vienna, VA 22043
23 Not Specified $250K and up Fee-Based
Nilos T. Sakellariou
61 Cornhill Street,
Annapolis, MD 21401
29 200,000,000 Not Specified Fee-Only
Scarborough Capital Management
1906 Towne Centre Blvd,
Annapolis, MD 21401
Not Disclosed 1,300,000,000 Not Specified Not Specified
Geoffrey Burroughs
CFP®, Financial Planning Specialist, CDFA®
2330 W. Joppa Rd,
Lutherville, MD 21093
12 Not Specified 250000 Fee-Based
Jake Marcoux
300 Red Brook Blvd,
Suite 320,
Owings Mills, MD 21131
18 350,000,000 $50,000 Fee-Based

Information on Qualified Financial Advisors in Fulton

Qualifications CRD# 4130719
Firm CRD# 2881
Series 6, 7, 63, 65, 66

Compensation/Fee Fee-Based, Commissions, Flat Fee, Based on Assets

Office Location 6011 University Blvd Suite 370,
Ellicott City,
Phone Number 443-956-1216

Doug Miller has worked in the financial services industry since January 3rd of 2000. From 1993-1999 he practiced Estate Planning and Business law. While in law school he worked at the SEC in the enforcement division. He is married and has 3 daughters. Two are currently at the University of Maryland and one is a graduate from Maryland and heading to PA school. He enjoys spending time with his family and participating in Ironman competitions.

About Northwestern Mutual

In our view, there is only one financial risk: not having the money to do the things you want to do. Our job is to make sure that you can. We build lasting relationships with our clients by gaining a true understanding of what is important to them. Our comprehensive planning and disciplined approach provides integrated solutions to make sure that our clients can successfully achieve their visions.

Advisory Services Provided:

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

Qualifications CRD# 5083311
Firm CRD# 127635
Series 7, 66

Compensation/Fee Fee-Based, Commissions, Based on Assets

Office Location 8401 Connecticut Ave,
Suite 400,
Chevy Chase,
Phone Number 301-907-9790

Erich is a CERTIFIED FINANCIAL PLANNER who has been in the financial service industry for over a decade. He received his Bachelors of Science from The Catholic University of America and his Master degree in Finance from The Sellinger School of Business at Loyola University Maryland. Prior to joining Plotkin, Erich was both a client manager and the associate portfolio manager at Geier Asset Management, Inc. in Marriottsville, MD. At Geier, Erich worked with professional athletes, business owners, retirees, and families to implement their financial goals. In conjunction with these responsibilities he gained tremendous experience analyzing, identifying and executing strategies in client investment portfolio's that aligned with their unique income and growth objectives. The diverse clientele that Erich has served over the years has allowed him to recognize that there is not a standardized approach when it comes to crafting the right financial plan or investment allocation for clients and their families. This is why Erich believes in holistic financial planning in order to develop a plan and investment strategy that meets the client's needs. Truly passionate about this approach, Erich also conducts retirement income planning seminars on how to accumulate and align assets with one's retirement goals. Erich is a sports enthusiast having played team sports all his life and enjoys staying active by acquiring new hobbies. He and his wife, Kelly, have two young children.

About Plotkin Financial Advisors, LLC

As a Certified Financial Planner (TM) at Plotkin Financial Advisors, LLC I am in the business of making a difference in the lives of clients and their families. I am guided by the core values of honesty, integrity, independence, innovation, objectivity and as a fiduciary of clients' interests. As an independent firm, we are free to craft financial plans and make recommendations that fit our clients best. The services and investments we recommend are based on what is in the best interest for our clients and their families. My firm's comprehensive wealth management service is a refined process that helps to define and clarify the financial landscape for the clients we serve. Together, we help you and your family work towards your financial goals. What - Provide clients with sound advice regarding every aspect of their financial lives. How - I utilize our proprietary Legacy Program method to design a customized wealth management plan. Why - I believe comprehensive financial planning is the foundation of achieving your desired lifestyle.

Advisory Services Provided:

Portfolio Management, Retirement Planning, Money Management, Financial Planning for Individuals, Tax Advice and Services, Estate Planning & Trusts, Insurance Planning

Qualifications CRD# 5398638
Firm CRD# 155334
Series 65

Compensation/Fee Fee-Only

Office Location 3 Bethesda Metro Center,
Suite 700,
Phone Number 202-503-4015

David has fourteen years of experience in the financial services industry. He grew up in Ellicott City, Maryland and traveled south to The Georgia Institute of Technology to earn a degree in engineering. As many STEM graduates do, David decided to apply his technical education to the field of finance and joined T. Rowe Price Group, Inc. in Baltimore to start his career in 2007. In 2011, he launched Middleton Advisory LLC and offered financial advisory services to the public. David has earned the CERTIFIED FINANCIAL PLANNER (TM) designation by taking coursework through New York University and passing a two day, ten hour exam. David also earned the Accredited Investment Fiduciary® designation by taking coursework though Stetson University and passing an exam. David is passionate about offering investment education to the public and providing holistic financial planning and investment management to qualified clients. He lives in Burtonsville, Maryland with his wife and two kids.

About Middleton Advisory

Middleton Advisory is a fee-only Registered Investment Adviser in Bethesda, MD, founded by David Middleton to begin his private practice. Services are offered in the entire state and surrounding areas, with the ability to take on clients across the country. David's mission is to help clients implement the best possible investment strategies based on their unique needs. After several years of experience at T. Rowe Price, David founded a completely independent firm, with no obligation to any broker-dealer or investment company. This allows Middleton Advisory to completely avoid investments that carry sales loads or commissions. Instead, a variety of low-cost investment funds are used to implement prudent strategies, following the principles of diversification and asset allocation.

Advisory Services Provided:

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

Qualifications CRD# 2946276
Firm CRD# 6413
Series 65

Compensation/Fee Fee-Only, Based on Assets

Office Location 6701 Democracy Blvd Suite 300, Offices 362 & 365,
Phone Number 240-855-0424

Scott was destined to be a financial advisor. He has been passionate about finance for as long as he can remember and began pursuing opportunities to learn more about the industry as young as junior high school. Now with over 25 years of experience as a financial consultant, Scott holds his Series 65 license held with LPL Financial and is a Certified Financial Planner®. As Managing Director, Financial Advisor for his namesake business, Scott is driven by the desire to help his clients work towards pursuing their goals and supporting them on their financial journey. Clients appreciate Scott's positive demeanor, responsive, and genuine interest in their well-being. A graduate of the University of Maryland, Scott now resides in Bethesda, Maryland with his wife, Amelia, and their two children, Lucy and Will. Outside of work, Scott enjoys spending time with his family and cheering on his kids during their sporting events and acting performances. He also enjoys working on projects around the house and volunteering with the Montgomery County Coalition for the Homeless.

About Butera Wealth Management by 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. *Top RIA custodian (Cerulli Associates, 2020 U.S. RIA Marketplace Report); No. 1 Independent Broker-Dealer in the U.S (Based on total revenues, Financial Planning magazine June 1996-2021); No. 1 provider of third-party brokerage services to banks and credit unions (2020-2021 Kehrer Bielan Research & Consulting Annual TPM Report)

Advisory Services Provided:

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

Qualifications CRD# 5179276
Firm CRD# 309793
Series 66

Compensation/Fee Fee-Based

Office Location 4100 W Street N.W. 213,
Phone Number 202-926-3636

Michael T. Jobe founded Glover Park Wealth Management, LLC with the goal of bringing independent and objective wealth management advice to our clients. In 2012 Michael joined the wealth management division of UBS and was promoted in 2018 to Account Vice President. Michael earned his B.S. in Finance from the Robert H. Smith School of Business at the University of Maryland, College Park, MD. Currently, Michael lives in Glover Park, Washington, DC. He enjoys spending time with his family, working out and playing golf. Michael is passionate about working with clients to build, grow and protect their wealth.

About Glover Park Wealth Management, LLC

Glover Park Wealth Management, LLC was founded to build, grow and protect the assets of our clients. We provide wealth management and asset management services for individuals and institutions. We are a registered investment advisory firm located in Glover Park, Washington, D.C.

Advisory Services Provided:

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

Qualifications CRD# 6382758
Firm CRD# 705
Series 7, 63, 65

Compensation/Fee Fee-Based

Office Location 1717 Pennsylvania Ave NW suite 1050,
Phone Number 202-365-8258

Michael is a graduate of University of Alabama with a B.S. in Political Science and a minor in Computer Science. He began his career in the financial service industry in 2008 helping clients build estate and financial plans through insurance strategies. In 2012, Michael started his own company concentrating on retirement income planning. He had great success working with clients to grow their assets through financial planning to achieve their goals. In 2017, Michael joined Raymond James to deliver his clients the platform, experience, and comprehensive services that Raymond James delivers. Michael currently holds his series 7, 63, 65 and Life Insurance licenses.

About Raymond James Financial Services, Inc.

We are a diverse team, united behind our clients goals and driven to help them achieve financial success. Our experience helps us seamlessly integrate with your company, complementing your strengths and incorporating our own gained from years of experience. Working with any of us means you have an office of intellectual capital behind your institution, leveraging our collective experience to provide sound, comprehensive financial guidance. We understand our clients needs and passionately pursue strategies designed to weather market changes and stay ahead of inflation. We develop portfolios that are driven toward long-term success by establishing clear risk and return objectives, and take into account your specific needs and constraints. Weve found that financial success requires a multifaceted approach, and we aim to support clients with our abundant capabilities and tenured expertise. We combine strategic asset allocation, disciplined portfolio rebalancing and attentive monitoring to achieve this, ensuring investments are consistently aligned with the needs and priorities of your organization. We believe in hard work and integrity, conducting thorough and objective research to discover managers with proven track records and a high level of expertise. We access our widespread professional contacts, conduct rigorous due diligence and hold frequent conference calls and visits, all in an effort to ensure the strategies we deploy align with your objectives. Taking a collaborative approach and utilizing the full bandwidth of our teams knowledge and experience, we help institutions to navigate evolving markets and stay angled toward long-term success and sustainability.

Qualifications CRD# 2207998
Firm CRD# 13572
Series 6, 7, 26, 63, 65

Compensation/Fee Fee-Based, Based on Assets

Office Location 1919 Gallows Rd, Suite 980,
Phone Number 703-506-0843

Bryan D. Beatty, CFP®, AIF® Financial Planner / Partner of Egan, Berger & Weiner LLC 23 years of experience in the financial industry as the principal of an independent financial services firm specializing in all aspects of investment and retirement planning. Graduate of University of Maryland with a BS in Finance; former president of the Finance, Banking and Investment Society. CERTIFIED FINANCIAL PLANNER Practitioner Active member of the Financial Planning Association, Executive Board Member, Treasurer An avid lifelong musician, Bryan plays guitar and writes music in his spare time and occasionally plays area venues. Originally from Baltimore, Maryland, Bryan has lived in Northern Virginia since 1992. Certified Financial Planner Board of Standards Inc. owns the certification marks CFP®, CERTIFIED FINANCIAL PLANNER which it awards to individuals who successfully complete the CFP® boards initial and ongoing certification requirements.

About Egan, Berger and Weiner, LLC

Associates of Egan, Berger & Weiner, LLC focuses on financial planning and coaching. We guide our clients to their dreams by skillfully navigating them through the myriad of life's financial decisions. We foster an environment for our team where they will achieve competitive greatness in their careers while simultaneously realizing their personal aspirations.

Qualifications CRD# 2108146
Firm CRD# 124504
Series 7, 10, 31, 63, 65, 66

Compensation/Fee Fee-Only

Office Location 61 Cornhill Street,
Phone Number 410-263-1313

please email me for a current biography. Or visit my firm's website for additional information www.NTSBEARING.com

About NTS Bearing-Total Wealth Management.

NTS Bearing is a registered branch of Arete Wealth Management LLC., member FINRA, SIPC & NFA. NTS Bearing offers the professional experience and investment knowledge of Mr. Nilos T. Sakellariou, CFM, who for over 27 years has helped high net-worth individuals and prominent families achieve their financial goals, grow & preserve their wealth and build lasting legacies for their future generations and loved ones. Using a private family office model, Mr. Sakellariou manages his firm within the parameters of his core principles: trust, knowledge, integrity, discretion and an unwavering focus on overall investment results. The firm's emphasis on the private family office model ensures a level of service which distinguishes and sets NTS Bearing apart from the standard cookie-cutter mentality prevalent at the big-name investment houses. The firm is uniquely positioned to offer customized investment strategies tailored to each client's unique circumstance. Mr. Sakellariou's proprietary CORE Equity Strategies and Defensive Capital Appreciation Methodology provide unique opportunities for those clients who desire more breadth from their investment portfolios. I sincerely invite you to contact us to fully appreciate how my firm can enhance your family's financial future.

Advisory Services Provided:

Portfolio Management, Risk Management

Qualifications Firm CRD# 169517

Office Location 1906 Towne Centre Blvd,
Phone Number 410-573-5700

About Scarborough Capital Management

Scarborough Capital Management was founded on the belief that everyone deserves access to high quality financial advice.

In the late 1980’s, many financial firms were focused on serving the wealthy. Scarborough set out to provide something different. We wanted to offer a service that was practical for everyone, not just a small percentage of the population. So we introduced 401(k), 403(b) and Thrift Savings Plan management services to American workers in the heartland.

Soon after, we broadened our scope to offer comprehensive financial planning, so we could help clients simplify their entire financial lives.

Our evolution didn’t stop there. Several years later, we saw that our clients were busy and often didn’t have time to drive to our offices for meetings. So we were one of the first firms to offer “virtual” advisory services. This allowed us to begin serving people from coast to coast.

Fast forward to the present day…while we’ve expanded, we’ve remained a close-knit team of professional advisors with a lot of shared history. Everyone on our team shares a passion for providing practical advice so you have the best chance of reaching your goals.

Most importantly, we have adhered to our founding beliefs:

  • Financial advice must be practical. We act more like a financial coach instead of old-fashioned “stock broker”. There’s nothing we love more than helping you map out all of your financial goals….then helping you work toward them one by one!
  • Getting advice must be convenient. You’re busy, so we interact with you whichever way you prefer: in person, or by email, phone and online conference.

Thirty years later, we now oversee more than $1 billion in assets. We’re incredibly honored to serve as a trusted partner for so many individuals and families.

Qualifications CRD# 5379858
Firm CRD# 151085
Series 7, 31, 66

Compensation/Fee Fee-Based, Based on Assets

Office Location 2330 W. Joppa Rd,
Phone Number 410-659-8905

About Harbor Investment Advisory

I take a client-first approach focused on helping my clients navigate through the complex and emotional financial decisions that surround their lives. I concentrate on doing three things for my clients and ask one in return. I help them: - Simplify their financial lives - Generate the necessary returns and income to sustain the lifestyle they desire now and in retirement - Build a legacy for the ones they love and the things they care about. What I ask in return: should my clients have a question on anything financial, I expect to be the first phone call.

Qualifications CRD# 4673912
Firm CRD# n/a
Series 7, 26, 66

Compensation/Fee Fee-Based, Hourly, Flat Fee, Based on Assets

Office Location 300 Red Brook Blvd,
Suite 320,
Owings Mills,
Phone Number 240-643-2337

I grew up in Rockville, MD, where I was raised by my Canadian grandparents. My grandfather passed away at a young age where unfortunately I learned firsthand the importance of proper planning and risk management. This led me to pursue degrees in Finance & Accounting, while playing both D3 Football and Basketball. Today, I love spending time with my wife Alysia, and our 3 kids, Genevieve (8), Vivian (7) and Beau (3). When we're not traveling, trying new things, or most often shuttling between the kids sports and activities. . I try to keep up on our Washington and Baltimore sports teams and occasionally breaking 100 while golfing!

About Legacy Capital

At Legacy Capital, we take the time to understand what's truly important to you and we deliver personalized strategies that are consistent with your dreams and values. t's really never too early to begin thinking about leaving a legacy and our experienced team is committed to helping you achieve financial freedom through our highly customized and comprehensive planning approach. We can help you prepare for whatever life brings- both the expected and the unexpected- with personalized advice that is as unique as you are. Working together, we can help you feel more confident, connected and in control of your financial future and we will strive to deliver a thoughtful and distinctive client experience to earn your trust for the long-term.

List of Additional Advisors in Fulton, Maryland*

* Additional advisors listing is provided in partnership with Yext

Financial Advisor Office Location Phone Number
Maven Wealth Management
Inquire with Maven
8115 Maple Lawn Blvd., Suite 350, Fulton, MD  20759 301-776-4244
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    Financial advisors help their client by providing financial advice and strategy to build wealth and eliminate risk. They assess the client's risk appetite, their unique needs and requirements, their short-term and long-term goals and guide them towards adopting the right financial plan, retirement plan, estate plan or education plan etc. as necessary. Learn more about the roles & benefits of a financial advisor.

    Financial advisors strategize financial planning and help you make the right decision about your investments. They weigh the pros and cons, and are abreast with the latest industry updates regarding tax issues and investment vehicles. These valuable insights guide you to make investments that meet your financial requirements and goals such as buying a house, education, having a baby or securing your retirement. Learn more about the cost of a financial advisor?.

    A financial advisor can help you manage your finances especially when you don't have the time to do it yourself or when there are major changes in your life, such as getting married or having a baby. Even if you've managed your investment on your own, the best financial planners can vet your plan and assess it from a different perspective, to add surety to your decisions. Learn more about the best time to hire a financial advisor.

    While choosing a financial planner to help you with your investment decisions, it's important to do some spadework. Meet different consultants and compare and contrast their advice. Pick up clues that demonstrate their experience and integrity. It is also important to verify the credentials of an independent financial planner before making a decision. Read the guide on choosing the best financial advisor.

    Finding the right person or a financial advisory firm to help with your retirement planning might take some effort, but the effort is worth it. Financial advisors might have different specializations, look for one who has had past experience in retirement planning. Also, this could translate to a long - term relationship, so it's important to find someone whom you like, trust and respect. Read here the importance of retirement planning.

    A fiduciary is any person or firm who acts on behalf of another individual or firm to manage their assets. Fiduciary financial advisors provide their client the highest quality of care while maintaining 'good faith', meaning they wouldn't act in favor of anyone else's interests, including their own. The best way to be certain that a financial advisor is a fiduciary is to simply ask. Learn more about what is a fiduciary financial advisor.

    A financial advisor is any person who helps their client manage their money by giving valuable investment insights to help financial decision making. A financial planner is also a financial advisor but specializes in creating comprehensive plans for their clients to match their specific goals. Learn more about financial advisor vs financial planner: Who do you need?