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Jason Allen Shepard

Fefa Financial

Saint Louis, MO

Gig Harbor, WA

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Current Employers
Fefa Financial

530 Vance Road, Saint Louis, MO 63088 • United States

Current Registrations

AuthorityCategoryStatusDate
WA RA APPROVED 2024-08-29
TX RA APPROVED 2023-07-04
  • WA RA
    APPROVED
    Since 2024-08-29
  • TX RA
    APPROVED
    Since 2023-07-04

Branch Locations

530 Vance Road, Saint Louis, MO 63088 • United States

Gig Harbor, WA • United States

Disclosures

1 disclosure category reported Yes on this SEC record. Read each Yes below, then review the firm’s Form ADV Item 11 guide for how disclosure questions work.

  • Regulatory action No
  • Criminal No
  • Bankruptcy No
  • Civil judicial No
  • Bond No
  • Judgment / lien No
  • Investigation No
  • Customer complaint No
  • Termination Yes
Employment History
OrganizationCityStateFromTo
Wells Fargo Bank, Na Portland OR 01/2012 03/2023
Wells Fargo Advisors, Llc Portland OR 01/2015 11/2016
Wells Fargo Clearing Services, Llc Portland OR 11/2016 03/2023
Wells Fargo Frisco TX 01/2012 03/2023
Fefa Asset Management Llc St. Louis MO 04/2023 03/2024
Vci Wealth Management Llc Saint Louis MO 07/2023 Present
  • 01/2012 → 03/2023
    Wells Fargo Bank, Na
    Portland, OR
  • 01/2015 → 11/2016
    Wells Fargo Advisors, Llc
    Portland, OR
  • 11/2016 → 03/2023
    Portland, OR
  • 01/2012 → 03/2023
    Wells Fargo
    Frisco, TX
  • 04/2023 → 03/2024
    Fefa Asset Management Llc
    St. Louis, MO
  • 07/2023 → Present
    Vci Wealth Management Llc
    Saint Louis, MO
Previous Registrations
Other Businesses

Jason Allen Shepard is a licensed insurance agent. This activity creates a conflict of interest since there is an incentive to recommend insurance products based on commissions or other benefits received from the insurance company, rather than on the client's needs. Additionally, the offer and sale of insurance products by supervised persons of VCI Wealth Management LLC are not made in their capacity as a fiduciary, and products are limited to only those offered by certain insurance providers. VCI Wealth Management LLC addresses this conflict of interest by requiring its supervised persons to act in the best interest of the client at all times, including when acting as an insurance agent. VCI Wealth Management LLC periodically reviews recommendations by its supervised persons to assess whether they are based on an objective evaluation of each client's risk profile and investment objectives rather than on the receipt of any commissions or other benefits. VCI Wealth Management LLC will disclose in advance how it or its supervised persons are compensated and will disclose conflicts of interest involving any advice or service provided. At no time will there be tying between business practices and/or services (a condition where a client or prospective client would be required to accept one product or service conditioned upon the selection of a second, distinctive tied product or service). No client is ever under any obligation to purchase any insurance product. Insurance products recommended by VCI Wealth Management LLC's supervised persons may also be available from other providers on more favorable terms, and clients can purchase insurance products recommended through other unaffiliated insurance agencies.

Exams
CodeExamDate
S65 Uniform Investment Adviser Law Examination 2018-08-06
S63 Uniform Securities Agent State Law Examination 2015-03-10
  • S65 Uniform Investment Adviser Law Examination
    2018-08-06
  • S63 Uniform Securities Agent State Law Examination
    2015-03-10
Other Names
  • Jason Shepard

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