Matthew Glova Attends Exclusive Conference for Financial Advisors
Raleigh, North Carolina (May, 2017)—Matthew Glova, CEO and Wealth Consultant of LifeTime Asset Management, in Raleigh, NC, was invited to gather with a group of prominent financial advisors at Commonwealth Financial Network®’s President’s Club, held May 16–21, 2017, in Ojai, California. President’s Club recognizes highly successful advisors among Commonwealth’s nationwide network of 1,710 financial advisors. Commonwealth is the nation’s largest privately held independent broker/dealer–RIA and the broker/dealer of choice for Matt Glova.
A variety of business meetings and informative sessions spanned the four-day conference, where attendees gained compelling insights, best practices, and recommendations from industry leaders. Numerous networking sessions and opportunities for interacting with peers allowed like-minded advisors to connect and share ideas. Overall, the conference emphasized providing the highest level of service, value, and commitment to the participants’ clients.
“We were pleased to host Matt Glova at President’s Club, and we commend him for his continued commitment to strengthening the core of LifeTime Asset Management,” said Wayne Bloom, CEO of Commonwealth. “By participating in this conference, Matt Glova pledges to evolve within his profession and remain dedicated to providing the exceptional independent financial guidance and education his clients depend on.”
About LifeTime Asset Management
LifeTime Asset Management has been providing individuals and organizations with financial guidance since 1982. Located at 7008 Harps Mill Rd. Suite 101 Raleigh, NC 27615, the advisors of LifeTime Asset Management pride themselves on crafting unique strategies for each client. For more information, please visit www.lifetimeasset.com. Securities and Advisory Services offered through Commonwealth Financial Network, Member FINRA/SIPC, a Registered Investment Adviser. Fixed Insurance products and services offered by LifeTime Asset Management, LLC.
About Commonwealth Financial Network
Founded in 1979, Commonwealth Financial Network, member FINRA/SIPC, is the nation’s largest privately held independent broker/dealer–RIA, with headquarters in Waltham, Massachusetts, and San Diego, California. The firm supports 1,710 independent advisors nationwide in serving their clients as registered representatives, investment adviser representatives, and registered investment advisers, as well as through hybrid service models. For more information, please visit www.commonwealth.com.
*As of December 31, 2016