Adviseme National Advisors Review

computer Visit Site phone 216-595-0800 print Print Report

Adviseme National Advisors, registered in 2006, is a Registered Investment Advisor (RIA) in 2 state(s) with a licensed staff of 8 advisors. Adviseme National Advisors manages $1.2 billion and provides investment advisory services for 1,653 clients (1:207 advisor/client ratio).

Disciplinary Questions

After checking the disciplinary records of Adviseme National Advisors, our system has identified the following question(s) to ask. Learn more.

announcement Your firm or an advisory affiliate was previously found guilty of making false statements or omissions by the SEC, CFTC, or another regulatory agency or organization. What happened? When? How many times did it occur? Will anyone that was involved be involved with my accounts in any capacity?

announcement It appears your firm or one of your employees previously had been subject to a suspension or expulsion or other restriction of activities with a Self-Regulating Organization or commodities exchange. What happened? When? How many times did it occur? Will anyone that was involved be involved with my accounts in any capacity?

Our system found no other disciplinary questions to ask. Checks take place monthly.

Conflict Questions

After checking the regulatory records of Adviseme National Advisors, our system found no conflict questions to ask. Checks take place monthly.

Was this helpful?

Yes or No

Need a Financial Advisor?

Finding a trustworthy financial advisor can be time-consuming and tedious, and we know your time is valuable. That’s why we created our one-of-a-kind Concierge Service to do all of the work for you while you enjoy the finer things in life. Hire our Head of Research to create your custom client profile and filter down more than 17,000 firms to three best matches, all while protecting your privacy. Learn more and get a free quote today.

Firm Information

As a financial advisory firm, also known as a Registered Investment Advisor (RIA), Adviseme National Advisors can provide a variety of financial planning services for Americans. The goal of a financial advisor is to review your personal finances and work with you to achieve your life goals, e.g., saving for retirement, by creating a comprehensive financial plan. Financial advisors focus primarily on money management, including investments like stocks, ETFs, and mutual funds.

Financial planning services can include tax planning, estate planning, retirement planning, or life-based event planning such as saving for college, getting married, purchasing a home, paying down debt, or planning an inheritance.

Summary Firm
Advisors Directory View Directory
Avg Advisor Years Registered 15
Minimum Investment Ask firm
Average Client Balance $753,836
Total AUM $1.2 billion
Investment-Related Prohibition - Court No
Advisor / Client Ratio 1:207
Website Visit Site
Phone Number 216-595-0800
Headquarters Cleveland, OH
SEC Filings View SEC IAPD CRD #141129

Disciplinary History

An important aspect of the Trust Algorithm is processing the SEC Form ADV Part 1 filing of each Registered Investment Advisor (RIA). “Item 11 Disclosure Information” contains a list of valuable disclosures that are relevant for Americans.

As identified in SEC Form ADV Part 1, Item 11 “Disclosure Information”, the Trust Algorithm identified the following disciplinary disclosures for Adviseme National Advisors:


Unfortunately, there is no single, uniform pricing standard for working with a financial advisor. Catchphrases, including "fee-only," can be helpful; however, Americans often get confused with competitors promoting "fee-based" in response.

Ultimately, to understand the underlying costs of advisory services, we always recommend asking for an itemized fees breakdown and reading the firm's ADV Part 2 Brochure (Item 5, "Fees and Compensation").


This automated report was generated using SEC and FINRA data and was last updated on August 4th, 2020*. For data support, email "". Firms that receive a 4.5 or 5-star rating are considered Trusted by Learn more.

*SEC data last verified 08/10/2020. For the most up-to-date information, please view the applicable SEC and FINRA reports above. By visiting these sites, you are subject to their terms of use (IAPD, BrokerCheck). Any data inaccuracies, please contact our team. All requests for updated information should also be reported directly to the SEC and/or FINRA.

Firm’s/Financial Professional’s profile pages may contain certain limited information directly provided to by the Firm/Financial Professional including, by way of example only, the “Personal Bio,” “Certifications,” and/or “Investment Philosophy” portions of the profile page. With respect to such information, cannot and does not independently verify, audit, validate, assess or guarantee the adequacy, accuracy, or completeness of such information; such information is not included or otherwise incorporated within’s Trust Score algorithm or review process.