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29 E. Madison St. Suite 500, Chicago, IL 60602-3205 • United States
Current Registrations
| Authority | Category | Status | Date |
|---|---|---|---|
| TX | RA | APPROVED_RES | 2022-11-14 |
| MO | RA | APPROVED | 2003-01-02 |
Branch Locations
1 Mid Rivers Mall Drive Suite 358, St. Peter'S, MO 63376 • United States
29 E. Madison St. Suite 500, Chicago, IL 60602-3205 • United States
No disclosure categories reported as “Yes” on this SEC record.
| Organization | City | State | From | To |
|---|---|---|---|---|
| Cambridge Investment Research | Fairfield | IA | 04/2000 | Present |
| Retirement Plan Advisors, Llc | Chicago | IL | 01/2003 | Present |
1) RETIREMENT PLAN ADVISORS, 1 MID RIVERS MALL DR, STE 358, SAINT PETERS, MO, 4/2000 AS INDEPENDENT INSURANCE AGENT FOR VARIOUS INDEPENDENT INSURANCE AGENCIES. INV REL - 5/WK - 1/TRADING. 2) RETIREMENT PLAN ADVISORS,1 MID RIVERS MALL DRIVE, STE 358, ST PETERS, MO, 04/15/2000 AS ADVISORY REP OF A RIA. INV REL - 15/WK - 2/TRADING. 3) LINCOLN COUNTY R-3 SCHOOL DISTRICT, 951 WEST COLLEGE, TROY, MO, 04/2019. BOARD MEMBER, ESTABLISH AND IMPLEMENT BOARD POLICIES. NIR-10/MO-0/TRADING. 4) RETIREMENT PLAN ADVISORS HOLDINGS, INC. / 105 West Adams St., Suite 2175, Chicago IL 60603 / 01/01/2022 / OWNER - RETIREMENT PLAN ADVISORS HOLDING INC IS A MEMBER OF RETIREMENT PLAN ADVISORS GROUP, LLC / 2 HR/MO - 2 HR/MO TRADING 5) RETIREMENT PLAN ADVISORS GROUP, LLC/ 105 West Adams St., Suite 2175, Chicago IL 60603 / 02/25/2022 / BOARD DIRECTOR - RETIREMENT PLAN ADVISORS GROUP, LLC IS THE SOLE OWNER OF BD RETIREMENT PLAN ADVISORS SERVICES, LLC AND RIA RETIREMENT PLAN ADVISORS, LLC / 2 HR/MO - 2 HR/MO TRADING 6) GREENLIGHT, 11/2024, POA for my brother Don, NIR, 0 HR/MO, 0 HR/MO TRADING. 7) RETIREMENT PLAN ADVISORS, 1 Mid Rivers Mall Drive, Suite 358, St. Peters, MO 63376, United States, START DATE 04/2000, Investment Advisor Representative, RIA Affiliation - other than CIRA, NIR, 160 HR/MO - 160 HR/MO TRADING
| Code | Exam | Date |
|---|---|---|
| S65 | Uniform Investment Adviser Law Examination | 2007-10-23 |
| S63 | Uniform Securities Agent State Law Examination | 1994-06-03 |
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