RS
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Ryan Simmons

27 Years of Experience
Des Moines, IA
Broker

Ryan Simmons is a registered investment advisor at Principal Securities, INC., based in Des Moines, IA, with 27 years of industry experience. Ryan operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Investment Management. Their firm serves 48,723 clients with $15B in assets under management.

Compensation
Fee-Only (% of Portfolio)Fixed/Hourly
Firm Size
1680 advisors
Number of Clients
48,723 clients
Average Client Portfolio
$304K average
Assets Under Management
$14.8B

Fee Structure

Investment management only (planning not offered)

Principal Securities offers investment management through third-party money managers. The fees you pay depend on the specific program you choose and the amount you invest.

Under the Investment Adviser arrangement, Principal Securities charges a separate advisory fee, which is negotiable but will not exceed the following:

SEI Investment Management Corporation (Managed Account Solutions):

  • Up to 1.75% annually on assets up to $500,000
  • Up to 1.20% annually on assets between $500,001 and $999,999
  • Up to 1.10% annually on assets of $1 million and up

SEI Investment Management Corporation (Mutual Fund Model Program):

  • Up to 1.75% annually on assets up to $500,000
  • Up to 1.20% annually on assets between $500,001 and $999,999
  • Up to 1.10% annually on assets between $1,000,000 and $2,000,000
  • Up to 0.90% annually on assets of $2,000,001 and up

Fees are collected quarterly.

Under the Promoter arrangement, you don't pay Principal Securities any fees directly. The TPMM calculates and collects all fees and then pays a portion to Principal Securities as a promoter's fee, ranging from 0.07% to 1.5% of assets or up to 50% of the advisory fee.

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Location

711 High St, Des Moines, IA, 50392

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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
Principal Securities, INC.
June 2017 - Present · 8 yrs 11 mos
Principal Securities, INC.
June 2017 - Present · 8 yrs 11 mos
Principal Securities, INC.Broker
June 2017 - Present · 8 yrs 11 mos
Previous Registrations
MML Investors Services, LLC
March 2017 - May 2017 · 2 mos
MML Investors Services, LLCBroker
March 2017 - May 2017 · 2 mos
Msi Financial Services, INC.
June 2016 - March 2017 · 9 mos
Msi Financial Services, INC.Broker
November 2012 - March 2017 · 4 yrs 4 mos
New England SecuritiesBroker
April 2012 - January 2015 · 2 yrs 9 mos
AXA Advisors, LLCBroker
November 2003 - January 2012 · 8 yrs 2 mos
Country Club Financial Services, INC.Broker
March 2003 - June 2003 · 3 mos
Thestreetdirect, LLCBroker
November 2000 - January 2002 · 1 yr 2 mos
All-Tech Direct, INC.Broker
March 1998 - November 2000 · 2 yrs 8 mos
Insight Securities & Trading, INC.Broker
February 1998 - March 1998 · 1 mo
Block Trading INC.Broker
October 1996 - April 1997 · 6 mos
Olde Discount CorporationBroker
February 1996 - October 1996 · 8 mos
State Registrations1 state
IA
AdvisorBrokerBoth

You can work with an advisor not registered in your state. Most advisors can legally serve a small number of clients across state lines without registering.

Exams
No exam information available for this advisor.