AdvisorRanked
100
Clean

SENTRY INVESTMENT MANAGEMENT, L.L.C.

1800 NORTH POINT DRIVE, STEVENS POINT, WI 54481
Fiduciaryfee-onlySEC Registered
715-346-6000 CRD #105176
$1.4B
Assets Managed
8
Clients
10
Employees
55
Years Active
since 1971

Compensation Model

% of Assets (AUM)
Hourly Fees
Fixed / Flat Fees
Commissions
Performance Fees

Compensation type disclosed on SEC Form ADV Item 5C. Filed 46107. Specific fee percentages are available in this firm's Form ADV Part 2A brochure at adviserinfo.sec.gov.

Conflict of Interest Analysis

Broker-Dealer Affiliated: No

No broker-dealer affiliation. Lower risk of commission-driven advice.

Insurance Licensed: No

Not insurance licensed. Cannot sell you annuity or insurance products directly.

Custody of Client Assets: No

Assets held at an independent custodian (e.g., Schwab, Fidelity, TD Ameritrade). This is the standard, lower-risk arrangement.

Proprietary Products: No

Uses only third-party investment products. No proprietary product conflicts.

Regulatory & Disciplinary History

Clean Record

No disciplinary events, regulatory actions, or customer complaints on file with the SEC or FINRA. This firm has maintained a spotless regulatory record for 55 years.

Firm Details

Legal NameSENTRY INVESTMENT MANAGEMENT, L.L.C.
CRD Number#105176
SEC RegisteredYes
Registration Date1971-11-14
States RegisteredWI
Assets Under Management$1.4B
Number of Clients8
Employees10
Compensation Typefee-only
Last ADV Filing46107

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Frequently Asked Questions

Is SENTRY INVESTMENT MANAGEMENT, L.L.C. a fiduciary?

Yes. SENTRY INVESTMENT MANAGEMENT, L.L.C. is a registered investment adviser (RIA) with the SEC, which means they are legally required to act as a fiduciary — putting your interests ahead of their own.

How does SENTRY INVESTMENT MANAGEMENT, L.L.C. charge clients?

SENTRY INVESTMENT MANAGEMENT, L.L.C. uses a fee-only compensation model. Full fee details are in their Form ADV Part 2A brochure at adviserinfo.sec.gov.

Does SENTRY INVESTMENT MANAGEMENT, L.L.C. have any complaints?

No. SENTRY INVESTMENT MANAGEMENT, L.L.C. has zero complaints or disciplinary actions on file with the SEC or FINRA across 55 years of operation.

How does SENTRY INVESTMENT MANAGEMENT, L.L.C. compare to other advisors in STEVENS POINT?

SENTRY INVESTMENT MANAGEMENT, L.L.C. has a Red Flag Score of 100/100. There are 2 registered advisory firms in STEVENS POINT. Use our city page to compare firms side by side.

Where does this data come from?

All information is sourced from SEC Form ADV public filings (mandatory regulatory disclosures) and FINRA BrokerCheck records. Last updated: 2026-06-24. We do not accept payment from financial advisors.

Data source: SEC Form ADV (Parts 1 and 2A) filed with the Investment Adviser Registration Depository (IARD). Filing date: 46107. Last data refresh: 2026-06-24. AdvisorRanked does not verify the accuracy of SEC filings. This is not financial advice.