Fiduciary Capital Management LLC
RIA
Firm record
As recorded in SEC IAPD
- Firm CRD
- 340618
- SEC number
- 801-135523
- Firm type
- RIA
- Assets under management
- $149.2M as of Jun 29, 2026
- Website
- fiduciarycm.com ↗
- Phone
- 503 515 1313
- Address
- 1621 Central Ave, Cheyenne, WY, 82001
Advisors at this firm
11 in our index · page 1 of 1
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James William BarrineauCRD 2557054 · New York, NYIA RegisteredRegistration inactive
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Kevin Joseph CarrollCRD 3124942 · Marlborough , CTIA RegisteredRegistration inactiveDisclosure event(s) on record
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Michael Sam CaruanaCRD 8280050 · The Villages,, FLIA RegisteredDisclosure event(s) on record
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Alfred DinicolaCRD 1305518 · Lakewood Ranch, FLIA RegisteredBrokerDisclosure event(s) on record
-
Xinyue GeCRD 6238613 · Chciago, ILIA Registered
-
Antonio Luis GonzalezCRD 8250234 · Gurabo, PRIA Registered
-
Paul Joseph McintyreCRD 1002368 · Mcminnville, ORIA RegisteredBrokerDisclosure event(s) on record
-
Cory Reid NeumillerCRD 2582835 · Englewood, COIA RegisteredRegistration inactive
-
Thomas B SanchezCRD 2437504 · Sugarland, TXIA RegisteredDisclosure event(s) on record
-
Marcus Lincoln ScottCRD 7634827 · Overland Park, KSIA Registered
-
Decorious T WilliamsCRD 8289095 · Capital Heights , MDIA Registered
1–11 of 11
Source & corrections
Where this page comes from
Advisor registration data on this site is reproduced from the SEC's Investment Adviser Public Disclosure (IAPD) system and FINRA's BrokerCheck. Those systems are the official records; this site is not. We do not alter the factual content of the records we reproduce.
SEC IAPD record for firm CRD 340618 ↗
FINRA BrokerCheck record for firm CRD 340618 ↗
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Data compiled Aug 20, 2026. Source: ADV_BULK. Your use of BrokerCheck data reproduced here is subject to FINRA's Terms of Use.
Preview release — partial coverage. This is a public-records lookup tool, not investment advice, not a recommendation, and not an endorsement of any advisor. Registration status shown here is a copy of a government record and may be out of date; always confirm against SEC IAPD and FINRA BrokerCheck before acting.