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SENTRY INVESTMENT MANAGEMENT, L.L.C.
SENTRY INVESTMENT MANAGEMENT, L.L.C. (CRD# 105176) is an SEC-Registered Investment Advisor (RIA), headquartered in Stevens Point, WI. The SEC approved the firm to operate as an RIA in Nov 1971. In Mar 2019, the firm reported total Regulatory Assets Under Management (RAUM) of $12.8 Billion, with discretion over 100% of those assets.   Pooled investment vehicles (Private Funds) account for 1% of RAUM.   Non-US investors represent 0% .  
 
SENTRY INVESTMENT MANAGEMENT, L.L.C. also reported in Mar 2019
  • 14 employees, with 11 performing advisory functions.
  • One office location.
  • No registrations with foreign financial regulatory authorities.
  • NO OPERATIONS as a Commodity Pool Operator (CPO) or Commodity Trading Advisor (CTA).
SENTRY INVESTMENT MANAGEMENT, L.L.C. has no disclosure events reported to the SEC at this time.
 

View SENTRY INVESTMENT MANAGEMENT, L.L.C.'s most recent Form ADV filing
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SENTRY INVESTMENT MANAGEMENT, L.L.C. has No Notice Filings with State Securities Authorities.


Disclaimer: 
The information presented above was gleaned from the SEC website and is believed to be accurate.  FindingFraud.org is presenting this data for informational purposes only and assumes no responsibility for errors or omissions.  Please note that we are aware of many instances where RIAs provided erroneous data to the SEC.  Feel free to contact FindingFraud.org with questions or concerns.


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