Wilde Wealth Management Group
Douglas Cole started their career at Glass Financial Services in 1990, where they served as the Director of Investment Strategy/Managing Partner until 2009. Douglas then moved on to Glass Financial Services, Inc., where they became the Managing Partner from 1994 to 2009. In 2009, Cole joined Wealth Management International as the Chief Investment Officer until 2014. Currently, they hold the position of Director of Investment Management at Wilde Wealth Management Group, Inc. starting from 2014.
Douglas Cole obtained their Bachelors of Arts degree in University Studies from Brigham Young University. Douglas attended Brigham Young University from 1972 to 1977. In 1978, they pursued further education at the Thunderbird School of Global Management, where they obtained a Masters in International Management.
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Wilde Wealth Management Group
Wilde Wealth Management Group....A Personal Approach to Wealth Management! As a boutique financial firm, we offer you service that is personal, private and professional. We aspire to have only a limited number of clients and to provide personal service to every one of them. We honor our relationship with you by providing customer service and attention you will not find elsewhere. As a privately owned independent financial firm, our advice is not influenced by a corporate parent, insurance company, or mutual fund family. Our Services: Planning Toward Your FInancial Future A Relationship Built on Communication Portfolios Built Around Your Goals Managing Your Wealth for Retirement From Accumulation to Distribution Our Pledge to you: Trust, Respect, Integrity You can trust Wilde Wealth Management Group to always be there when you need us, answering your questions and working with you in pursuit of your goals. SInce service is all that we sell, you can count on us to: .Work as your financial advisor, always putting your interests first .Educate you to ensure that you are comfortable with each of our recommendations .Strive to exceed your expections at every level of the relationship Securities and advisory services offered through Cetera Advisors LLC, member FINRA/SIPC. Cetera Advisors LLC is under separate ownership from any other entity. 7025 N Scottsdale Road Suite 115 Scottsdale, AZ 85253