AUMdb

Spire Wealth Management, Llc

SEC-registered Wealth Manager · Mid-sized ($1B–$10B) CRD 113908 · SEC file 801-60468 · Mclean, VA · www.kaizenwealthstrategies.com
☆ Save with Pro ADV data as of Jun 30, 2026
Regulatory AUM
$4.5B
Discretionary
$4.4B
Clients
6,379
Avg AUM / client
$708K
Accounts
15,272
Employees
145

AUM over time

$815M $4.8B
Dec 2011 Jun 2026

Annual snapshots from Form ADV filings · as of Jun 30, 2026

Who they serve

Client typeClientsAUM% of AUM
Individuals (non-high net worth) 6,023 $3.0B 67.2%
High net worth individuals 128 $1.3B 28.6%
Charitable organizations 44 $20.0M 0.44%
Corporations and other businesses 184 $168M 3.72%

Retirement plan clients

Plans that reported this firm as an investment service provider on Form 5500 Schedule C.

Plan Location Plan year
United Airlines Pilot Retirement Account Plan United Airlines, Inc. 2024

People (74)

roster as of Jul 20, 2026
NameRole / titleCredentialsWith firm sinceOwnership
David Lloyd Blisk Managing Member Jan 2002 (25y) ≈ 56.25% – 100% via Spire Investment Partners, Llc
Lord, Robert, Michael Coo Mar 2017 (9y) Less than 5%
Bright, Joshua, Joseph Director Of Finance Apr 2018 (8y) Less than 5%
Ross, Lauramarie, Elizabeth Sr. Vice President Sep 2020 (6y) Less than 5%
Feisal Ahmed Khan Malik Chief Compliance Officer Nov 2020 (6y) Less than 5%
Yohanna Gorfu Registered representative CFP Dec 2001 (25y)
Brenda Pack Blisk Registered representative CFP Jan 2002 (25y)
Christopher Scott Airey Registered representative CFP Aug 2003 (23y)
Liliana Niloufar Molina Registered representative CFP Aug 2007 (19y)
Arash Zarrabian Registered representative CFA Jan 2008 (19y)
Christopher Patterson Registered representative Personal Financial Specialist Apr 2008 (18y)
Peter Theodore Michaels Registered representative Nov 2008 (18y)
Norman Gerald Bloom Registered representative May 2009 (17y)
Steven Michael Digregorio Registered representative Sep 2009 (17y)
Tracey Douglas Frank Registered representative Oct 2009 (17y)
Richard Eller Registered representative Feb 2010 (16y)
Jeffrey Paul Mccoy Registered representative Jan 2012 (15y)
Bharat Nandiram Mulchandani Registered representative Nov 2012 (14y)
Ashley Squillace Registered representative Jan 2016 (11y)
Matthew Edward Gaffey Registered representative CFP Chartered Financial Consultant Jul 2016 (10y)
Darren Christopher Port Registered representative Jun 2017 (9y)
Ronald Joseph Carazo Registered representative Nov 2017 (9y)
Michael David Erbaio Registered representative Feb 2018 (8y)
Philip James Fluegge Registered representative Feb 2018 (8y)
William Cunningham Registered representative CFP Mar 2018 (8y)
Terry James Delhomme Registered representative May 2018 (8y)
Barbara Lee Doran Registered representative Jun 2018 (8y)
Sean Rosencrance Registered representative CFP Jul 2018 (8y)
Joseph Peter Colell Registered representative Sep 2018 (8y)
Mark Doughty Registered representative CFP Oct 2018 (8y)
Carmen Dello Iacono Registered representative CFA Nov 2018 (8y)
Stephen Nicholas Receski Registered representative Dec 2018 (8y)
Charles Austin Carazo Registered representative Dec 2018 (8y)
David A Speranza Registered representative Mar 2019 (7y)
Tobia Jacqueline Pierce Registered representative Aug 2019 (7y)
David Albert Urovsky Registered representative Aug 2019 (7y)
Robert John Ferris Registered representative Nov 2019 (7y)
Edward Spalding Kapfhammer Registered representative Dec 2019 (7y)
Natalie J Gosselin Registered representative Mar 2020 (6y)
David T Canham Registered representative Jul 2020 (6y)
David John Levorchick Registered representative Aug 2020 (6y)
Midhat Quadri Registered representative CFA Sep 2020 (6y)
Howard Jay Barnett Registered representative Jan 2021 (6y)
Matthew M Ludmer Registered representative Apr 2021 (5y)
Marcus Lee Malone Registered representative Jun 2021 (5y)
Alexi Sacco Registered representative Jun 2021 (5y)
Henry Devries Registered representative CFP Aug 2021 (5y)
Frank Thomas Vandy Registered representative Oct 2021 (5y)
Andrew Daniel Baron Registered representative Mar 2022 (4y)
Sladana Bukalov Registered representative Mar 2023 (3y)
David Lee Kopp Registered representative Jun 2023 (3y)
Penny Gae Frank Registered representative CFP Sep 2023 (3y)
Georgia Lauren Lord Registered representative CFP Mar 2024 (2y)
Hallie Swayze Marshall Registered representative Apr 2024 (2y)
Angelica Lynn Orozco Registered representative Jan 2025 (2y)
Christopher Patrick Pratt Registered representative CFP Jan 2025 (2y)
Phillip Michael Krause Registered representative Jan 2025 (2y)
Sean Tabone Registered representative Jan 2025 (2y)
Connor Becton Registered representative CFP Jan 2025 (2y)
Kyle Thomas Venditti Registered representative Jan 2025 (2y)
John Bay Registered representative CFA Mar 2025 (1y)
Lauren Joy Feuer Registered representative Apr 2025 (1y)
Kanchanee Laepet Registered representative Apr 2025 (1y)
Camilla Carvalho Registered representative Apr 2025 (1y)
Christian Carazo Registered representative May 2025 (1y)
Sean Backs Registered representative Oct 2025 (1y)
Dennis Michael O'brien Registered representative Jan 2026 (1y)
Jeremy Paul Ziemba Registered representative Jan 2026 (1y)
Maria L Sciuto Registered representative CFP Feb 2026 (0y)
Brent D Griffin Registered representative Mar 2026 (0y)
Christina Marie Cunningham Registered representative Mar 2026 (0y)
Kathleen Bianel Pena Registered representative Mar 2026 (0y)
Bethany Paige Tice Registered representative May 2026 (0y)
Benjamin Marcus Eller Registered representative Jun 2026 (0y)

Entity owners (Schedule A/B)

EntityTitle / statusSinceSch.Ownership
Spire Investment Partners, Llc Parent Firm Oct 2007 A 75% or more
Lm Securities Llc Member May 2017 B GP / trustee / elected manager of Spire Investment Partners, Llc (indirect)

Undisclosed: 0% – 25% of the firm is not attributable from the filed Schedule A bands.

Estimated effective ownership (look-through of filed bands):

  • David Lloyd Blisk: 75% – 100% of Spire Investment Partners, Llc × 75% – 100% direct ≈ 56.25% – 100% of the firm

Roster from the IAPD representatives feed; ownership and acquisition dates from Form ADV Schedule A/B. "Since" is the earliest filed registration or acquisition date.

Retirement plans served (1)

PlanSponsorParticipantsPlan assetsAs of
United Airlines Pilot Retirement Account Plan United Airlines, Inc. 17,444 $16.8B 01/01/2024

From Form 5500 service-provider disclosures.

Documents (1 archived)

FormPeriodSize
Form ADV (full filing) 06/30/2026 1.91 MB View · PDF · Source ↗

Archived copies of the firm's regulatory filings, versioned by content hash.

Disciplinary disclosures

Regulatory · Item 11.E(2), 11.E(4) as of Jun 25, 2024

Allegations: THAT S. AIREY ENGAGED IN PRIVATE SECURITIES TRANSACTIONS WITHOUT PROVIDING PRIOR WRITTEN NOTICE TO OR RECEIVING PRIOR APPROVAL FROM HIS EMPLOYER MEMBER FIRM. Status: Final Sanction Detail: SUSPENDED FOR 3 MONTHS IN HIS CAPACITY AS A S7 REGISTERED REPRESENTATIVE. PENALTY OF $5000 AGAINST MR. AIREY WAS PAID IN FULL BY MR. AIREY ON 7/10/2009. Summary: AWC WAS ACCEPTED BY MR. AIREY ON 5/27/09. THIS INCLUDED THE PAYMENT OF A $5000 FINE (WHICH WAS PAID IN FULL ON 7/10/09) AND A 3 MONTH SUSPENSION FROM ANY FINRA MEMBER IN ANY CAPACITY. THIS SUSPENSION PERIOD WAS COMPLETED ON 11/2/2009.

Regulatory as of Jun 25, 2024

Allegations: IA RELEASE 40-5188 / MARCH 11, 2019: THE SECURITIES AND EXCHANGE COMMISSION DEEMS IT APPROPRIATE AND IN THE PUBLIC INTEREST THAT PUBLIC ADMINISTRATIVE AND CEASE-AND-DESIST PROCEEDINGS BE INSTITUTED AGAINST SPIRE WEALTH MANAGEMENT, LLC ("RESPONDENT"). ON THE BASIS OF THIS ORDER AND RESPONDENT'S OFFER, THE COMMISSION FINDS THAT THESE PROCEEDINGS ARISE OUT OF BREACHES OF FIDUCIARY DUTY AND INADEQUATE DISCLOSURES BY THE RESPONDENT IN CONNECTION WITH ITS MUTUAL FUND SHARE CLASS SELECTION PRACTICES AND THE FEES IT RECEIVED. AT TIMES DURING THE RELEVANT PERIOD, RESPONDENT PURCHASED, RECOMMENDED, OR HELD FOR ADVISORY CLIENTS MUTUAL FUND SHARE CLASSES THAT CHARGED 12B-1 FEES INSTEAD OF LOWER-COST SHARE CLASSES OF THE SAME FUNDS FOR WHICH THE CLIENTS WERE ELIGIBLE. RESPONDENT RECEIVED 12B-1 FEES IN CONNECTION WITH THESE INVESTMENTS. RESPONDENT FAILED TO DISCLOSE IN ITS FORM ADV OR OTHERWISE THE CONFLICTS OF INTEREST RELATED TO (A) ITS RECEIPT OF 12B-1 FEES, AND/OR (B) ITS SELECTION OF MUTUAL FUND SHARE CLASSES THAT PAY SUCH FEES. DURING THE RELEVANT PERIOD, RESPONDENT RECEIVED 12B-1 FEES FOR ADVISING CLIENTS TO INVEST IN OR HOLD SUCH MUTUAL FUND SHARE CLASSES. AS A RESULT OF THE CONDUCT, RESPONDENT WILLFULLY VIOLATED SECTIONS 206(2) AND 207 OF THE ADVISERS ACT. Status: Final Sanction Detail: RESPONDENT HAS SUBMITTED AN OFFER OF SETTLEMENT WHICH THE COMMISSION HAS DETERMINED TO ACCEPT. IN VIEW OF THE FOREGOING, THE COMMISSION DEEMS IT APPROPRIATE IN THE PUBLIC INTEREST TO IMPOSE THE SANCTIONS AGREED TO IN THE RESPONDENT'S OFFER. ACCORDINGLY, IT IS ORDERED THAT RESPONDENT SHALL CEASE AND DESIST FROM COMMITTING OR CAUSING ANY VIOLATIONS AND ANY FUTURE VIOLATIONS OF SECTIONS 206(2) AND 207 OF THE ADVISERS ACT. RESPONDENT IS CENSURED, SHALL PAY DISGORGEMENT OF $540,276.75 AND PREJUDGMENT INTEREST OF $53,796.07, AND SHALL COMPLY WITH THE UNDERTAKINGS ENUMERATED IN THE OFFER OF SETTLEMENT. RESPONDENT SELF-REPORTED TO THE COMMISSION THE VIOLATIONS DISCUSSED IN THIS ORDER PURSUANT TO THE DIVISION OF ENFORCEMENT'S SHARE CLASS SELECTION DISCLOSURE INITIATIVE ("SCSD INITIATIVE"). ACCORDINGLY, THIS ORDER AND RESPONDENT'S OFFER ARE BASED ON THE INFORMATION SELF-REPORTED BY RESPONDENT. Summary: RESPONDENT HAS SUBMITTED AN OFFER OF SETTLEMENT WHICH THE COMMISSION HAS DETERMINED TO ACCEPT. IN VIEW OF THE FOREGOING, THE COMMISSION DEEMS IT APPROPRIATE IN THE PUBLIC INTEREST TO IMPOSE THE SANCTIONS AGREED TO IN THE RESPONDENT'S OFFER. ACCORDINGLY, IT IS ORDERED THAT RESPONDENT SHALL CEASE AND DESIST FROM COMMITTING OR CAUSING ANY VIOLATIONS AND ANY FUTURE VIOLATIONS OF SECTIONS 206(2) AND 207 OF THE ADVISERS ACT. RESPONDENT IS CENSURED, SHALL PAY DISGORGEMENT OF $540,276.75 AND PREJUDGMENT INTEREST OF $53,796.07, AND SHALL COMPLY WITH THE UNDERTAKINGS ENUMERATED IN THE OFFER OF SETTLEMENT. RESPONDENT SELF-REPORTED TO THE COMMISSION THE VIOLATIONS DISCUSSED IN THIS ORDER PURSUANT TO THE DIVISION OF ENFORCEMENT'S SHARE CLASS SELECTION DISCLOSURE INITIATIVE ("SCSD INITIATIVE"). ACCORDINGLY, THIS ORDER AND RESPONDENT'S OFFER ARE BASED ON THE INFORMATION SELF-REPORTED BY RESPONDENT.

Disclosure text reproduced verbatim from the firm's own Form ADV filings.

How they charge

  • Percentage of assets under management
  • Hourly charges
  • Subscription fees
  • Fixed fees

Services

  • Financial planning services
  • Portfolio management for individuals/small businesses
  • Pension consulting services
  • Selection of other advisers
  • Other services

Custody

Reported custodians

Amounts as reported in ADV Item 5.K.(3) (custodians holding 10%+ of SMA assets).

Firm reports it does not have custody of client funds or securities (Item 9.A).

Source

All data on this page comes from this firm's Form ADV filings, reproduced without modification. Latest filing: Jun 30, 2026.

View current Form ADV (SEC/IAPD) ↗