29:11 Wealth Management
Plan - Protect - Grow
29:11 Wealth Management
Plan - Protect - Grow
Inspired by Jeremiah 29:11, we are committed to helping you plan, protect, and grow your wealth, all while fostering a sense of security and confidence in your financial future. Thank you for choosing us to be your trusted partner on this important journey.
At 29:11 Wealth Management, our mission is to guide and empower our clients in the prudent management of their financial resources through the lens of biblical stewardship. We are dedicated to honoring God by promoting responsible and ethical financial practices that reflect His principles. Our goal is to help individuals and families grow their wealth while upholding values of integrity, generosity, and wise stewardship. Through a commitment to personalized service and ethical practices, we strive to foster enduring relationships and drive meaningful success for our clients and their communities.
Advisory services offered through Lincoln Investment or Capital Analysts Registered Investment Advisers. Securities offered through Lincoln Investment, Broker Dealer, Member FINRA/SIPC. www.finra.org, www.sipc.org, www.lincolninvestment.com, 29:11 Wealth Management and the above firms are independent, and non-affiliated.
Tax, legal, or Social Security claiming advice is not offered through, nor supervised by Lincoln Investment or Capital Analysts. Property/Casualty and Key Person insurance products are not offered through, or supervised by, The Lincoln Investment Companies.
This site has been prepared solely for information purposes is not intended to be a solicitation, offer or sale of securities products or investment advisory services to anyone who resides outside of the United States. Lincoln Investment and Capital Analysts are registered as investment advisers with the U.S. Securities and Exchange Commission, and Lincoln Investment is registered as a broker-dealer in all 50 states. Lincoln Investment, Capital Analysts and their Financial Representatives may only transact business in a particular state if first registered and only after complying with registration requirements.
Before entering into an arrangement with a financial professional it is prudent to review their background and experience. The Financial Industry Regulatory Authority provides a tool called BrokerCheck, which can assist you in this effort. The tool allows investors to see a financial professional's employment history, licenses and any regulatory, criminal, civil and customer complaints. The tool is located at brokercheck.finra.org.
When you link to any of these websites provided here, you are leaving this site. We make no representation as to the completeness or accuracy of information provided at these sites. Nor are we liable for any direct or indirect technical or system issues or consequences arising out of your access to or use of these third-party sites. When you access one of these sites, you are leaving our website and assume total responsibility for your use of the sites you are visiting.
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