Ryan
Connell
The Huntington Investment Company
Answer a few questions and
get matched with an advisor.
About this Advisor
Ryan Connell is a financial advisor based in Powell, Ohio, working with The Huntington Investment Company. Ryan has previously held positions at Morgan Stanley, Morgan Stanley Private Bank, National Association, Wells Fargo Advisors LLC, Wells Fargo Clearing Services, LLC, Securities America, Inc, Securities America Advisors, and The Huntington Investment Company. Ryan has passed the Series 63 and Series 66 regulatory exams and is registered to provide services in Ohio. Currently, Ryan is part of The Huntington Investment Company, which operates out of Powell, Ohio. The firm has 766 offices and 483 employees. The firm manages assets totaling $5.2 billion and serves a variety of clients, including charitable organizations and high-net-worth individuals. The services offered by the firm include portfolio management for individuals and small businesses, portfolio management for institutional clients, and selection of other advisers. The fee structure at The Huntington Investment Company includes asset-based fees.
Certifications and Registrations
Services Offered
Fee Structure
Office Location
Not sure which advisor is right for you? Use our matching tool.
Our matching tool simplifies the process of finding a financial advisor. To match you with top financial advisors nearby, we ask you a series of questions about your retirement plans, life status, investment goals and advisor preferences, which are all important topics to consider when choosing a financial advisor. Based on that information, we match you with financial advisors near you who suit your needs. Our matching tool has connected more individuals with financial advisors than any other service in the U.S. Click here to get matched with an advisor today.
The Huntington Investment Company Brokerage Details
$5,196,750,113
483
32,956
$157,688
Investment Advisory Services
- Portfolio management for individuals and/or small businesses
- Portfolio management for businesses or institutional clients
- Selection of other advisers
Ryan Connell Work History
The Huntington Investement Company
Securities America, Inc
Securities America Advisors
Wells Fargo Advisors LLC
Wells Fargo Clearing Services, LLC
Morgan Stanley Private Bank, National Association
Morgan Stanley
Morgan Stanley
Disclosures
Please visit the SEC profile of Ryan Connell to learn whether or not they have any disclosures. It is important to do your due diligence when looking for an advisor.
Financial Advisors at Huntington Financial Advisors
Dublin, OH
Columbus, OH
Brighton, MI
Twinsburg, OH
Cadiz, OH
Chicago, IL
Akron, OH
Battle Creek, MI
The content in this profile was updated by SmartAsset on 6/19/2024. All advisor details come from publicly available data, and we cannot guarantee the accuracy of the content. We are unable to make individual profile updates. If you want your profile removed temporarily or permanently, please contact profile-compliance@smartasset.com.
The named financial professional and firm have not reviewed, approved, or endorsed this profile and are not responsible for its accuracy. Profile content is produced by SmartAsset independently of any business relationships that might exist between SmartAsset and the named financial professional and firm. Financial professionals and firms having business relationships with SmartAsset receive no special treatment or consideration in SmartAsset’s profiles.
This profile may include a firm or advisor that has a business relationship with SmartAsset, in which SmartAsset is compensated for lead referrals. SmartAsset is not a client of the aforementioned firms or advisors. SmartAsset did not receive compensation for including any of the firms or advisors in the aforementioned profile.
This page contains links to SmartAsset’s financial advisor matching tool, which may or may not match you with the advisor or firm mentioned in this profile. The matching tool does not include all available advisors and firms and matches based on specific criteria (investable assets, geography, and willingness to work with a remote advisor).
Certified Financial Planner Board of Standards, Inc. (CFP Board) owns the certification marks CFP® and CERTIFIED FINANCIAL PLANNER™ in the United States, which it authorizes the use of by individuals who successfully complete CFP Board’s initial and ongoing certification requirements.