• Individual
  • Firm
at
in
in
When communicating online or investing with any professional, make sure you know who you’re dealing with. Imposters might link to sites like BrokerCheck from phishing or similar scam websites, or through social media , trying to steal your personal information or your money. Please contact FINRA with any concerns.
Investment Adviser Firm Summary
GOOD LIFE ADVISORS, LLC ( CRD # 171898/SEC#:801-80003 )
A.C. HEARNE & CO LLC, VIRTUS WEALTH MANAGEMENT, VALLEY MANOR INVESTMENT MANAGEMENT, UMBRELLA WEALTH MANAGEMENT, THE HOSKINS & RAMIREZ GROUP…

The adviser's REGISTRATION status is listed below.

REGISTRATION STATUS
SEC / JURISDICTION
REGISTRATION STATUS
EFFECTIVE DATE
SECApproved7/7/2014
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.

JURISDICTIONEFFECTIVE DATE
Alabama1/19/2018
Arizona7/16/2014
Arkansas1/5/2022
California7/7/2014
Colorado2/5/2015
Connecticut4/18/2016
Delaware2/5/2015
District of Columbia3/18/2019
Florida2/5/2015
Georgia4/18/2016
Idaho9/13/2017
Illinois4/19/2016
Indiana12/7/2015
Kansas4/18/2016
Kentucky1/5/2022
Louisiana7/7/2014
Maryland4/18/2016
Massachusetts4/18/2016
Michigan5/29/2015
Minnesota7/20/2017
Missouri7/7/2014
Montana1/5/2022
Nebraska3/27/2018
Nevada3/18/2019
New Hampshire12/23/2024
New Jersey10/17/2014
New Mexico4/18/2016
New York12/17/2014
North Carolina1/18/2016
Ohio7/16/2014
Oklahoma11/7/2023
Oregon9/13/2017
Pennsylvania7/7/2014
Puerto Rico3/31/2023
South Carolina7/7/2014
South Dakota8/24/2023
Tennessee4/18/2016
Texas7/16/2014
Utah3/31/2023
Virginia3/20/2015
Washington3/20/2015
West Virginia4/18/2016
Wisconsin7/20/2017
Wyoming10/26/2023
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
B
Broker
A brokerage firm, also called a broker-dealer, is in the business of buying and selling securities – stocks, bonds, mutual funds, and certain other investment products – on behalf of its customer (as broker), for its own bank (dealer), or both. Individuals who work for broker-dealers - the sales personnel are commonly referred to as brokers.
IA
Investment Adviser
An investment adviser is paid for providing advice about securities to clients. In addition, some investment advisers manage investment portfolios and offer financial planning services.
Disclosures
Disclosures can be customer complaints or arbitrations, regulatory actions, employment terminations, bankruptcy filings and certain civil or criminal proceedings that they were a part of.