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Investment Adviser Firm Summary

IFP ADVISORS, INC. (CRD# 125112 / SEC# 801-69511)
Alternate Names: 3 PEAKS FINANCIAL , 360 WEALTH MANAGEMENT , 401K ADVISORS INTERMOUNTAIN , 401K ADVISORS, LLC , 401K MATRIX , 401K PLAN PROFESSIONALS , ACCORDANCE PRIVATE WEALTH MANAGEMENT , ACUMEN CAPITAL GROUP , ACUMEN WEALTH ADVISORS , ADVANCED STRATEGIES GROUP, LLC , ADVANTAGE BENEFIT SERVICE , ADVOCATE CONSULTING GROUP , AFG, LLC , ALFORD-JUNGERS FINANCIAL , ALL BENEFITS CONSULTING CORP. , AMELIA WEALTH MANAGEMENT , ANCHOR WEALTH MANAGEMENT , ANTONETTI CAPITAL MANAGEMENT , ARENA & BROWN RETIREMENT CONSULTANTS , ASHWOOD WEALTH MANAGEMENT , ASSET ADVISORS , ASSURE FINANCIAL SERVICES, LLC , ASSURE FINANCIAL SERVIXES, LLC , ATLANTIC CAPITAL ADVISORS , AUDET INVESTMENT MANAGEMENT, INC. , AUDET WEALTH ADVISORS , AVILA INVESTMENTS & INSURANCE GROUP , AWA INVESTMENT ADVISORS , AXIOS ADVISORY GROUP LTD , B GREEN WEALTH MANAGEMENT , BANDCO TEVIS INVESTMENT STRATEGIES , BARNES & COMPANY INVESTMENT COUNSEL , BARNES CAPITAL GROUP , BAY AREA WEALTH MANAGEMENT , BCG PENSIONMARK , BCG TERMINAL FUDNING CO. , BELL WEALTH MANAGEMENT , BENEDICT WEALTH ADVISORY GROUP, LLC , BENEFITS MATRIX, LLC , BIG ROCK WEALTH MANAGEMENT , BJORK ASSET MANAGEMENT, INC. , BJORK ASSET MANAGEMENT , BLUEPRINT FINANCIAL CORPORATION , BLUEPRINT RETIREMENT , BLUEROCK INVESTMENT SERVICES , BOSCH FINANCIAL , BRANDENBURG FINANCIAL , BRIGHTON WEALTH MANAGEMENT , BROWN INVESTMENTS , BROWN SERVICES GROUP , BROWNING AGENCY OF PONTE VEDRA, INC. , BRYSON FINANCIAL , BRYSON WEALTH MANAGEMENT , BUELOW FINANCIAL GROUP , BUILDING FINANCIAL STRENGTH , CADEN CAPITAL , CALLAHAN WEALTH MANAGEMENT , CALLESEN WEALTH MANAGEMENT , CAMERON FINANCIAL MANAGEMENT , CANARY WEALTH STRATEGIES , CANOPY ASSET MANAGEMENT , CAPITAL CONCLUSION CORPORATION , CAPITAL CONCLUSIONS CORPORATION , CAPITAL RETIREMENT GROUP , CASTERLIN & YOST FINANCIAL SERVICE GROUP , CASTNER JOSEPHS RETIREMENT GROUP INC , CASTRINOS FINANCIAL , CBB FINANCIAL, INC. , CDS WEALTH MANAGEMENT , CDS WEALTH MANAGEMENT, INC. , CENTERPOINTE WEALTH MANAGEMENT , CHAMPION WEALTH MANAGEMENT , CHANDLER O'REAR & ASSOCIATES , CHEPENIK FINANCIAL , CLEARPOINT FINANCIAL , COGENT WEALTH MANAGEMENT, LLC , COLLABORATIVE FINANCIAL SOLUTIONS, LLC , COLTON SMITH, LLC , CONNORS WEALTH MANAGEMENT , CORNERSTONE LEGACY WEALTH MANAGEMENT , CORNERSTONE RETIREMENT ADVISORS, LLC , COTTON WEALTH MANAGEMENT ASSOCIATES, LLC , COVENANT WEALTH MANAGEMENT , CS HUDGENS CAPITAL MANAGEMENT , CT FINANCIAL INC , CUMMINGS CAPITAL MANAGEMENT , CYCAP, LLC , CYPRESS CAPITAL , D. MARTINI AND ASSOCIATES, INC. , DAN T. PEACOCK & ASSOCIATES , DARPEL WEALTH MANAGEMENT , DARPEL, DICKMAN & HARRIGAN WEALTH MANAGEMENT , DAVIS ADVANTAGE WEALTH MANAGEMENT , DAVIS FINANCIAL , DAWES WEALTH MANAGEMENT , DCS PENSIONMARK , DCS RETIREMENT CONSULTANTS , DEHAAN WEALTH MANAGEMENT , DELANCEY WEALTH MANAGEMENT, LLC , DELANEY FINANCIAL GROUP , DELGADO WEALTH MANAGEMENT , DELOIA WEALTH MANAGEMENT INC. , DEPTOLA , DEW FINANCIAL MANAGEMENT GROUP , DICKMAN FINANCIAL SERVICES , DILL FINANCIAL SERVICES , DIRECTIONAL WEALTH MANAGEMENT, LLC , DIVDEND WEALTH MANAGEMENT , DIVIDENT WEALTH MANAGEMENT , DIVORCE DIRECTION , DT MOREHEAD, INC. , E2E FINANCIAL , EBERST WEALTH MANAGEMENT , EDD HOLDER & ASSOCIATES , ELLIS-SUMMER GROUP , ENGLUND & LINDSTEADT FINANCIAL ADVISORS , EQUITY WEALTH MANAGEMENT , EQUITY, INC. , ERINE S TOLENTINO , EVS FINANCIAL , EXECUTAX FINANCIAL , EXEUNT, LLC , F4 WEALTH ADVISORS , FAGO WEALTH MANAGEMENT , FAMILY RESIDENCE AND ESSENTILA ENTERPRISES , FARHAT FINANCIAL SERVICES , FIDELIS FIDUCIARY MANAGEMENT , FINANCIAL MANAGEMENT STRATEGIES , FINANCIAL PARTNERS , FINANCIAL PLANNING & CONSULTING, LLC , FINANCIAL PRESCRIPTIONS , FINANCIAL RESOURCE CENTER , FINANCIAL STRATEGIES GROUP , FIORI FINANCIAL GROUP , FIRST FINANCIAL OF CITRUS COUNTY , FISH CREEK FINANCIAL SERVICES, LLC , FISHER FINANCIAL GROUP , FIT FINANCIAL , FLAUTT HARE DAVIS LLC , FLORIDA PENSION GROUP , FM FINANCIAL SERVICES, INC. , FOREFRONT WEALTH PARTNERS , FORSETH WEALTH MANAGEMENT LLC , FORSETH WEALTH MANAGEMENT, LLC , FORTUS , FORTUS FINANCIAL, LLC , FOUR OAKS FINANCIAL , FRANCISCO X DAIZ FINANCIAL INC. , FRANK DEPTOLA & ASSOCIATES, LLC , FRANKLIN FINANCIAL SERVICES...

The adviser's REGISTRATION status is listed below.


REGISTRATION STATUS


SEC / JURISDICTION REGISTRATION STATUS _ EFFECTIVE DATE
SEC Approved 09/19/2008
Florida Terminated 09/26/2008
Georgia Terminated 09/26/2008
New York Cancelled 01/10/2005

NOTICE FILINGS


Investment adviser firms registered with the SEC may be required to provide to state securities authorities a copy of their Form ADV and any accompanying amendments filed with the SEC. These filings are called "notice filings". Below are the states with which the firm you selected makes its notice filings. Also listed is the date the firm first became notice filed or registered in each state.


JURISDICTION EFFECTIVE DATE
Alabama 03/11/2010
Alaska 05/10/2013
Arizona 10/29/2010
Arkansas 05/10/2013
California 10/22/2010
Colorado 11/02/2010
Connecticut 05/10/2013
Delaware 05/10/2013
District of Columbia 03/23/2012
Florida 09/19/2008
Georgia 09/19/2008
Hawaii 10/29/2010
Idaho 10/29/2010
Illinois 03/12/2010
Indiana 11/02/2010
Iowa 11/01/2010
Kansas 04/09/2012
Kentucky 12/13/2010
Louisiana 01/24/2011
Maine 05/10/2013
Maryland 11/08/2010
Massachusetts 10/29/2010
Michigan 09/15/2010
Minnesota 11/02/2010
Mississippi 03/29/2011
Missouri 05/10/2013
Montana 10/06/2011
Nebraska 04/27/2011
Nevada 03/21/2012
New Hampshire 06/15/2011
New Jersey 11/10/2010
New Mexico 04/08/2011
New York 04/14/2009
North Carolina 09/15/2010
North Dakota 05/10/2013
Ohio 10/22/2010
Oklahoma 07/26/2012
Oregon 10/29/2010
Pennsylvania 10/29/2010
Puerto Rico 11/08/2010
Rhode Island 11/02/2010
South Carolina 02/08/2012
South Dakota 05/10/2013
Tennessee 09/03/2010
Texas 09/19/2008
Utah 11/30/2010
Vermont 05/10/2013
Virgin Islands 03/26/2012
Virginia 07/26/2010
Washington 10/29/2010
West Virginia 05/10/2013
Wisconsin 11/30/2010
Wyoming 11/10/2017

EXEMPT REPORTING ADVISERS


Exempt Reporting Advisers ("ERA") are investment advisers that are not required to register as investment advisers because they rely on certain exemptions from registration under sections 203(l) and 203(m) of the Investment Advisers Act of 1940 and related rules. Certain state securities regulatory authorities have similar exemptions based on state statutes or regulations. An ERA is required to file a report using Form ADV, but does not complete all items contained in Form ADV that a registered adviser must complete. Other state securities regulatory authorities require an ERA to register as an investment adviser and file a complete Form ADV. Below are the regulators with which an ERA report is filed.


Not Currently an Exempt Reporting Adviser