Gardey Financial Advisors Inc.

Gardey Financial Advisors Inc. (CRD# 105337) is a financial advisory firm headquartered in Saginaw, MI. They manage $195,045,116 in 622 accounts and serve the financial needs of clients across 3 states (or territories).

By the Numbers
  • Total Assets Under Management
    195
    MILLION
  • Total Number of Accounts
    622
    ACCOUNTS
  • Average Account Value
    $313,577
Compensation Options
  • A percentage of assets under your management
Advisory Services Offered
  • Financial planning services
  • Portfolio management for individuals and/or small businesses
Types of Clients
Registered States
The map below shows states where this firm has explicit registration only.

CO, FL, MI

Financial Advisors at Gardey Financial Advisors Inc.
Showing 1 - 2 of 2 top financial advisors.
1
Jonathan M. Gardey
CRD#: 5030529
100 Harrow Lane, Saginaw, MI 48638

Jonathan Gardey (CRD# 5030529) is an Investment Advisor Representative working at Gardey Financial Advisors Inc. in Saginaw, MI and has 1 year of experience in the finance industry. Jonathan Gardey has taken additional exams to become a Certified Financial Planner (CFP®). CFP professionals must pass the comprehensive CFP Certification Examination, pass CFP Board's Fitness Standards for Candidates and Registrants, agree to abide by CFP Board's Code of Ethics and Professional Responsibility and Rules of Conduct which put clients' interests first and comply with the Financial Planning Practice Standards.

2
Melissa A. Seamon
CRD#: 5771478
100 Harrow Lane, Saginaw, MI 48638

Melissa Seamon (CRD# 5771478) is an Investment Advisor Representative working at Gardey Financial Advisors Inc. in Saginaw, MI and has 1 year of experience in the finance industry. Melissa Seamon has taken additional exams to become a Certified Financial Planner (CFP®). CFP professionals must pass the comprehensive CFP Certification Examination, pass CFP Board's Fitness Standards for Candidates and Registrants, agree to abide by CFP Board's Code of Ethics and Professional Responsibility and Rules of Conduct which put clients' interests first and comply with the Financial Planning Practice Standards.

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