DB
ChFC

David William Brady

33 Years of Experience

Firm Information

Compensation
Fee-Only (AUM)Fixed/Hourly
Number of Advisors
96 advisors
Number of Clients
3,268 clients
Average Client Portfolio
$181K average
Assets Under Management
$591.1M

Fee Structure

Minimum Investment:None
Hourly Rate:Up to $300/hr

Financial planning fees are negotiable and can be fixed or hourly (up to $300/hour). For asset management, the maximum annual fee is 2.00% of assets under management, negotiable based on the money manager, advisor, and account value. Fees are billed monthly or quarterly, in advance or arrears, depending on the money manager. ERISA plan service fees will not exceed 1% annually and are also negotiable. Some TPMs may have account minimums. GWM does not require a minimum to open an account.

Areas of Practice
Financial Planning & CoachingRetirement PlanningEstate PlanningEducation PlanningInvestment Management
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Advisor Information

Office location

4105 Lexington Avenue, Suite 380, Arden Hills, MN, 55126

Get directions
Regulatory History (2)
What are disclosures? Advisors must report customer complaints, regulatory actions, and certain legal or financial events to the SEC. Not all disclosures are serious—many are settled disputes or minor violations. Learn how to evaluate them.
Customer Dispute
July 2008
Closed-No Action
Customer Dispute
March 2007
Closed-No Action
Other Business ActivitiesSells Insurance

David is the owner of Brady Associates Financial Services, an insurance and securities/advisory business, and spends a few hours per week on it. He also owns Brady Associates Inc., a real estate, consulting, and accounting entity, dedicating a few hours per week to managing rentals, consulting, and related tasks.

Employment History
Current Registrations
Gradient Wealth Management
June 2016 - Present · 9 yrs 7 mos
Gradient Securities, LLC Broker
June 2016 - Present · 9 yrs 7 mos
Previous Registrations
USA Financial Securities Corporation
October 2009 - July 2016 · 6 yrs 9 mos
USA Financial Securities Corporation Broker
January 2004 - July 2016 · 12 yrs 6 mos
MML Investors Services, INC. Broker
December 2002 - November 2003 · 11 mos
Signator Investors, INC.Broker
January 1992 - December 2002 · 10 yrs 11 mos
John Hancock Mutual Life Insurance CompanyBroker
January 1992 - May 1997 · 5 yrs 4 mos
State Registrations12 states
CACTFLIDMAMENCNHNYSCUTVT
AdvisorBrokerBoth
Exams
No exam information available for this advisor.