Firm Information

Compensation
Fee-Only (AUM)Fixed/Hourly
Number of Advisors
57 advisors
Number of Clients
1,958 clients
Average Client Portfolio
$175K average
Assets Under Management
$343.5M

Fee Structure

Minimum Investment:None
Financial Planning:Investment management only

The maximum annual fee for the APM program is 2.50%, billed quarterly in advance. Fees are negotiable at the discretion of RIA or the Financial Advisor. Clients may incur additional costs such as mutual fund internal management fees. Clients can terminate their agreement with written notice, and unearned fees will be refunded.

Areas of Practice
Investment ManagementRetirement PlanningEstate PlanningTax PlanningInsurance Planning
Loading...

Advisor Information

Office location

1201 N. Orange Street, Suite 729, Wilmington, DE, 19801

Get directions
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.

Learn about disclosures →
Other Business ActivitiesSells Insurance

Byron works as an investment advisor representative for Realta Investment Advisors and is the CEO of Sovereign Wealth Management, spending full-time hours at each. Byron also has a fixed/indexed insurance business, owns rental property, and works in human resource management for Prince George's County.

Employment History
Current Registrations
Realta Equities, INC.
May 2018 - Present · 7 yrs 8 mos
Realta Investment Advisors, INC
May 2018 - Present · 7 yrs 8 mos
Realta Equities, INC.Broker
May 2018 - Present · 7 yrs 8 mos
Previous Registrations
Capital One Advisors, LLC
July 2016 - April 2018 · 1 yr 9 mos
Capital One Investing, LLCBroker
August 2015 - April 2018 · 2 yrs 8 mos
J.P. Morgan Securities LLC Broker
October 2012 - July 2015 · 2 yrs 9 mos
J.P. Morgan Securities LLC
October 2012 - July 2015 · 2 yrs 9 mos
Chase Investment Services CORP.Broker
July 2010 - October 2012 · 2 yrs 3 mos
Chase Investment Services CORP.
July 2010 - October 2012 · 2 yrs 3 mos
Wells Fargo Advisors, LLC Broker
October 2008 - June 2010 · 1 yr 8 mos
Wells Fargo Advisors, LLC
October 2008 - June 2010 · 1 yr 8 mos
J. P. Morgan Securities INC.
March 2007 - August 2008 · 1 yr 5 mos
J.P. Morgan Securities INC.Broker
December 2006 - August 2008 · 1 yr 8 mos
Chase Investment Services CORP.Broker
February 2005 - January 2007 · 1 yr 11 mos
Allstate Financial Services, LLCBroker
November 2004 - January 2005 · 2 mos
Quick & Reilly, INC.Broker
May 2000 - September 2004 · 4 yrs 4 mos
Signator Investors, INC.Broker
January 1999 - February 2000 · 1 yr 1 mo
State Registrations4 states
DCMDNYVA
AdvisorBrokerBoth
Exams
No exam information available for this advisor.