Mark Minnella
CRD Number: 2215742Current Firm: Integrity Investors, LLC
Compensation Model: Fee Only
Mark Minnella (CRD# 2215742) is an Investment Advisor Representative working at Integrity Investors, LLC in Saint Louis, MO and has over 24 years of experience in the finance industry.
Mark is the founder and President of Integrity Investors, L.L.C., a company established to evalute and design portfolios for discerning individuals, specializing in portfolio strategies that allow individuals to invest with integrity, aligning their investments with their individual values, principles and Biblical Beliefs.
As a co-founder of the National Association of Christian Financial Consultants, Inc. Mark designed the first faith based professional designation program, Christian Financial Consultant and Advisor (CFCA), in the industry. Mark served on the Board of Directors for Timothy Plan Mutual Funds, adding his guidance to the growth of the first Mutual Fund Family to screen for Biblical Values. His extensive background as a pioneer and leader in faith based investment movement brings valuable guidance and discernment to the portfolio management offered through Integrity Investors, LLC. As a host of the “More than Money” radio show, Mark has been the voice of Biblically Responsible Investing on Christian Radio for over 15 years.
Mark began his financial services practice in 1987. Prior to the incorporation of Integrity Investors, Mark and two partners established a successful investment and financial planning practice for 15 years. As his older partners approached retirement Mark felt it best to establish a new identity that more accurately represented his belief in Biblically Based Investment concepts.
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Moneta Group Investment Advisors, LLC
Company Name | Location | Dates | Years |
---|---|---|---|
Faith Investor Services | Dallas, TX | Oct 2023 - Current | < 1 |
Integrity Investors, LLC | St. Louis, MO | Nov 2001 - Current | 22 |
Mark Minnella, Inc. | Arnold, MO | Apr 1993 - Current | 31 |
Williams Financial Group | Dallas, TX | Feb 2001 - Jun 2014 | 13 |
Exam Code | Name | Passed Date |
---|---|---|
S63 | Uniform Securities State Law Examination | Apr 1992 |
S65 | NASAA Investment Advisors Law Examination | Nov 1996 |
- IL
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Total Assets Under Management48MILLIONS
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Total Number of Accounts490ACCOUNTS
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Average Account Value$97,693
- A percentage of assets under your management
- Portfolio management for individuals and/or small businesses
- Other
IL
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