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Philip Saravis

40 Years of Experience
Stamford, CT
Broker

Philip Saravis is a registered investment advisor at Citigroup Global Markets INC., based in Stamford, CT, with 40 years of industry experience. Philip operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Investment Management. Their firm serves 56,938 clients with $47B in assets under management.

Compensation
Fee-Only (% of Portfolio)Fixed/Hourly
Firm Size
2418 advisors
Number of Clients
56,938 clients
Average Client Portfolio
$823K average
Assets Under Management
$46.9B

Fee Structure

CGMI offers various investment advisory programs with different fee structures. The CGMI fee is an annualized, fixed, asset-based fee of up to 2% that is negotiable based on a number of factors. Clients may also pay separate fees to third-party investment managers, generally ranging from 0.05% to 1.00% depending on the asset class and investment style. These fees do not include additional charges such as wire transfer fees, taxes, or brokerage commissions for trades executed outside of CGMI or Clearing Firm.

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Location

Citi Wealth Management, Sales, 750 Washington Blvd, Fl 7, Stamford, CT, 06901

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History

Regulatory History
Clean regulatory record

No disclosures, customer disputes, or regulatory actions on file.

Disclosures include customer complaints, regulatory actions, and other events that advisors must report to the SEC. A clean record means none have been reported.

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Employment History
Current Registrations
Citigroup Global Markets INC.
June 2017 - Present · 8 yrs 11 mos
Citigroup Global Markets INC.Broker
June 2017 - Present · 8 yrs 11 mos
Citigroup Global Markets INC.
June 2017 - Present · 8 yrs 11 mos
Previous Registrations
Kinecta Financial & Insurance Services, LLCBroker
December 2014 - June 2016 · 1 yr 6 mos
LPL Financial LLC
November 2014 - July 2016 · 1 yr 8 mos
LPL Financial LLCBroker
November 2014 - July 2016 · 1 yr 8 mos
Hsbc Securities (USA) INC.
August 2008 - November 2014 · 6 yrs 3 mos
Hsbc Securities (USA) INC.Broker
August 2008 - November 2014 · 6 yrs 3 mos
Citigroup Global Markets INC.
September 2007 - July 2008 · 10 mos
Citigroup Global Markets INC.Broker
May 2007 - July 2008 · 1 yr 2 mos
Citicorp Investment ServicesBroker
July 2006 - May 2007 · 10 mos
Chase Investment Services CORP.
April 2005 - July 2006 · 1 yr 3 mos
Chase Investment Services CORP.Broker
September 2004 - July 2006 · 1 yr 10 mos
People's Securities, INC.Broker
February 2000 - September 2004 · 4 yrs 7 mos
Cal Fed InvestmentsBroker
October 1998 - June 1999 · 8 mos
Glenfed Brokerage ServicesBroker
October 1996 - November 1998 · 2 yrs 1 mo
Gna Securities, INC.Broker
June 1990 - September 1996 · 6 yrs 3 mos
A. G. Edwards & Sons, INC.Broker
December 1989 - March 1990 · 3 mos
Shelter Rock Securities CORP.Broker
March 1989 - November 1989 · 8 mos
Blinder, Robinson & CO., INC.Broker
August 1983 - January 1989 · 5 yrs 5 mos
State Registrations53 states
AKALARAZCACOCTDCDEFLGAHIIAIDILINKSKYLAMAMDMEMIMNMOMSMTNCNDNENHNJNMNVNYOHOKORPAPRRISCSDTNTXUTVAVTVirgin IslandsWAWIWVWY
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Exams
No exam information available for this advisor.