MS
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Michael Shonsey

54 Years of Experience
Omaha, NE
1 DisclosureBrokerSells Insurance

Michael Shonsey is a registered investment advisor at Integrity Alliance, LLC, based in Omaha, NE, with 54 years of industry experience. Michael operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Investment Management. Their firm serves 14,148 clients with $2.4B in assets under management.

Compensation
Fee-Only (% of Portfolio)Fixed/Hourly
Firm Size
457 advisors
Number of Clients
14,148 clients
Average Client Portfolio
$170K average
Assets Under Management
$2.4B

Fee Structure

Minimum Investment:None
Investment management only (planning not offered)

Integrity Alliance offers investment management through various programs.

Edge Program:

  • Fees include a program fee (up to 0.35% annually), an advisor fee (up to 2.00% annually), and potential third-party sub-advisor fees.

Select Program:

  • Fees range from 1.00% to 2.80% annually on the first $1,000,000, 1.00% to 2.20% on the next $2,000,000, and 0.50% to 1.75% on assets over $3,000,000.
  • A 0.10% trading platform fee is added to the maximum account fee for accounts with the broker-dealer arm.

Fees are assessed on all assets, including cash and money market balances. Margin accounts may incur additional fees. Fees are typically charged quarterly in advance, pro-rated for mid-quarter openings, and adjusted for significant deposits or withdrawals.

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Location

15808 W Dodge Rd, Suite 200, Omaha, NE, 68118

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History

Regulatory History (1)
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Customer Dispute
February 2023
Settled
Other Business ActivitiesSells Insurance

Michael owns Shonsey Wealth Management and TR Financial, both DBAs for securities and advisory services, dedicating nearly full-time hours to each. He is also an insurance agent, spending a few hours per week selling insurance products.

Employment History
Current Registrations
Integrity Alliance, LLC.Broker
March 2022 - Present · 4 yrs 2 mos
Integrity Alliance, LLC
March 2022 - Present · 4 yrs 2 mos
Previous Registrations
LPL Financial LLC
August 2020 - February 2022 · 1 yr 6 mos
LPL Financial LLCBroker
August 2020 - February 2022 · 1 yr 6 mos
Cetera Advisors LLC
January 2012 - September 2020 · 8 yrs 8 mos
Cetera Advisors LLCBroker
January 2012 - September 2020 · 8 yrs 8 mos
Securities America Advisors, INC.
April 2004 - January 2012 · 7 yrs 9 mos
Securities America, INC.Broker
April 2004 - January 2012 · 7 yrs 9 mos
Gwr Investments, INC.
February 2002 - April 2004 · 2 yrs 2 mos
Gwr Investments, INC.Broker
November 2001 - April 2004 · 2 yrs 5 mos
Morgan Stanley Dw INC.Broker
November 1990 - November 2001 · 11 yrs
Merrill Lynch, Pierce, Fenner & Smith IncorporatedBroker
May 1979 - November 1990 · 11 yrs 6 mos
Piper, Jaffray & Hopwood IncorporatedBroker
February 1978 - April 1979 · 1 yr 2 mos
Reinholdt & Gardner IncorporatedBroker
September 1977 - March 1978 · 6 mos
Dain, Kalman & Quail, IncorporatedBroker
April 1976 - October 1977 · 1 yr 6 mos
St. Paul Investors, INC.Broker
August 1971 - February 1976 · 4 yrs 6 mos
Industry Savings Plans, INC.Broker
December 1970 - October 1971 · 10 mos
State Registrations5 states
IAMONDNETX
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.