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Timothy Lloyd

28 Years of Experience
Land O Lakes, FL
Broker

Timothy Lloyd is a registered investment advisor at Strategic Advisers LLC, based in Land O Lakes, FL, with 28 years of industry experience. Timothy operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Financial Planning & Coaching, Retirement Planning. Their firm serves 2,031,770 clients with $1100B in assets under management.

Compensation
Fee-Only (% of Portfolio)Fixed/Hourly
Firm Size
17027 advisors
Number of Clients
2,031,770 clients
Average Client Portfolio
$525K average
Assets Under Management
$1067.7B

Fee Structure

Minimum Investment:$50K
Planning is included in investment management (also available separately)
Portfolio-Based Fees (Tiered)
Portfolio ValueAnnual Fee
Up to $500K1.25%
$500K - $1.0M1.10%
$1.0M - $2.0M0.90%
$2.0M - $5.0M0.70%
$5M+0.50%

Fidelity Advisory Services: 1.10% on all assets. Wealth Management and Private Wealth Management: tiered fees as described above. Fees are subject to change and can be negotiated for certain accounts. Additional fees of up to 0.40% may apply for SMA Sleeves where advisory services are not provided solely by a Strategic Advisers affiliate.

Fee Estimator
Your Portfolio Value
$500K
$0$500K$1M$5M$20M
Estimated Annual Fee
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Location

Land O Lakes, FL

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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
Strategic Advisers LLC
March 2025 - Present · 1 yr 2 mos
Fidelity Brokerage Services LLC
January 2022 - Present · 4 yrs 4 mos
Fidelity Brokerage Services LLCBroker
January 2022 - Present · 4 yrs 4 mos
Previous Registrations
Fidelity Personal and Workplace Advisors
February 2022 - March 2025 · 3 yrs 1 mo
Cetera Investment Advisers LLC
August 2019 - December 2021 · 2 yrs 4 mos
Cetera Investment Services LLCBroker
July 2019 - December 2021 · 2 yrs 5 mos
Suntrust Advisory Services, INC.
September 2016 - June 2019 · 2 yrs 9 mos
Suntrust Investment Services, INC.
December 2013 - December 2016 · 3 yrs
Suntrust Investment Services, INC.Broker
December 2013 - June 2019 · 5 yrs 6 mos
Merrill Lynch, Pierce, Fenner & Smith IncorporatedBroker
June 2013 - October 2013 · 4 mos
The Mutual Fund Store
December 2011 - May 2013 · 1 yr 5 mos
Fifth Third Securities, INC.
February 2011 - December 2011 · 10 mos
Fifth Third Securities, INC.Broker
January 2011 - December 2011 · 11 mos
USAA Financial Planning Services
October 2010 - January 2011 · 3 mos
USAA Financial Advisors, INC.Broker
September 2010 - January 2011 · 4 mos
Suntrust Investment Services, INC.
May 2009 - March 2010 · 10 mos
Suntrust Investment Services, INC.Broker
January 2009 - March 2010 · 1 yr 2 mos
Wm Financial Services, INC.
August 2004 - December 2004 · 4 mos
Wm Financial Services, INC.Broker
August 2004 - December 2004 · 4 mos
Amsouth Investment Management Company LLC
September 2003 - July 2004 · 10 mos
Amsouth Investment Services, INC.
March 2003 - September 2003 · 6 mos
Amsouth Investment Services, INC.Broker
April 2000 - July 2004 · 4 yrs 3 mos
Fiserv Investor Services, INC.Broker
September 1998 - August 1999 · 11 mos
Nationsbanc Investments, INC.Broker
April 1998 - October 1998 · 6 mos
Barnett Investments, INC.Broker
February 1995 - April 1998 · 3 yrs 2 mos
Jmc Financial CorporationBroker
September 1993 - February 1995 · 1 yr 5 mos
Delta First Financial, INC.Broker
October 1991 - September 1993 · 1 yr 11 mos
State Registrations52 states
AKALARAZCACOCTDCDEFLGAHIIAIDILINKSKYLAMAMDMEMIMNMOMSMTNCNDNENHNJNMNVNYOHOKORPAPRRISCSDTNTXUTVAVTWAWIWVWY
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Exams
No exam information available for this advisor.