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10 Fears of Retirement

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Alexander C. Pushman

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FREE GUIDE: Shows You How To Have a SUCCESSFUL RETIREMENT & Having

Some FUN Along The Way :)

By ALEXANDER C. PUSHMAN

ALEXANDER C. PUSHMAN

FINANCIAL ADVISOR

Alexander has leadership experience working with Fortune 500 companies in development, marketing, and finance. As a result, his experience has primarily been focused in for-profit business.

However, his most recent leadership position was specific to one of the largest nonprofits in the country supporting blind children. Alexander takes great pride in being an asset to his community. Therefore, he is always looking for creative ways to help others. In addition to his corporate roots,

Alexander has tons of training, experience, and success in retirement planning. Alexander prides himself on transparency and a “client first” approach. In addition, he has many certifications and licenses and training. His areas of expertise are income planning, minimizing taxes, social security, medicare, and, of course, investments. As a result of these components he has been able to satisfy many clients.

Our Standard

Our qualified staff of licensed financial professionals spend countless hours learning and improving their financial understanding so that they can offer you the best retirement solutions. Here are some of the licenses and certifications our advisors hold:

  • - Certified Financial Planner (CFP)

  • - Accredited Wealth Management Advisor (AWMA)

  • - Series 65 & 66 Licenses

  • - National Social Security Advisor (NSSA) Certification

  • - Health and Life Insurance Licensure

  • - Certified Regulatory and Compliance Professional (CRCP)

Having qualifications such as the above not only helps us present a solution-oriented approach for our client’s unique situation, but it also provides a standard that they can hold us to.

Our Services

Wealth Accumulation

Retirement Planning

Life Insurance

Asset Protection

Long-Term Care

Tax Minimization

Annuities

Roth IRA and 401(K) Rollover

Social Security

Advisory services offered through Foguth Wealth Management, LLC (“FWM”), an SEC registered investment advisor (SEC No. 801-128714).  FWM’s Form ADV Part 2A and Form ADV Part 3, are available free of charge at https://adviserinfo.sec.gov/. Foguth Financial Group is a trade name used exclusively for marketing purposes, is commonly owned and operated, and is not a registered investment advisor.  Insurance products are offered only by duly licensed individuals and are not offered through FWM. The information and materials contained herein are presented for informational purposes only and should not be construed as personalized investment, tax, or legal advice.

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