Toby Nolan Brown
Form ADV Part 2B
BROCHURE SUPPLEMENT FOR SUPERVISED PERSONS
Toby Nolan Brown
(CRD # 6805178)
Tel. (866) 931-4099
LearnVest Planning Services, LLC
41 East 11th Street, 2nd Floor
New York, NY 10003
1375 N Scottsdale Rd, #370
Scottsdale, AZ 85257
July 6th, 2017
This Brochure Supplement, Form ADV Part 2B, provides information about Toby Nolan Brown that supplements LearnVest Planning Services, LLC’s Disclosure Brochure, Form ADV Part 2A, (our “Brochure”). You already should have received a copy of our Brochure. Please contact us at SUPPORT@LEARNVESTPLANNING.COM if you did not receive our Brochure or if you have any questions about the contents of this supplement. Additional information about LearnVest Planning Services, LLC is available on the SEC website at www.adviserinfo.sec.gov.
Educational Background and Business Experience:
Toby Nolan Brown, born 1987.
Mr. Brown currently serves as a LearnVest Planner for LearnVest Planning Services, LLC (the “Firm”).
Since May 2017, Mr. Brown has served as a LearnVest Planner for the Firm. Prior to joining the Firm, from November 2010 to May 2017, Mr. Brown was Assistant General Manager for Saltgrass Steak House, in Arlington, Texas.
In 2016, Mr. Brown graduated from Mountain View College in Dallas, Texas with a degree in Finance.
The role of the financial planner at LearnVest is to collaborate with clients in order to help develop an actionable financial plan for them, using a set of planning standards that have been established by the company. They may also provide continual advice as clients work toward implementing various parts of their plan.
Planners employed by the firm are required to complete an internal training program that begins with intensive classroom sessions before directly working with clients. During the final phase, each planner’s proficiency is evaluated based on their coursework and client interactions. After the training program is completed, planners are continually evaluated on their performance by management and members of the quality assurance team to ensure they are adhering to company planning standards and maintaining client satisfaction.
Mr. Brown has not been involved in any legal or disciplinary events material to a client’s or prospective client’s evaluation of Mr. Brown.
Other Business Activities:
Mr. Brown is not actively engaged in any investment-related business or occupation, including being registered, or having an application pending to register, as a broker-dealer, registered representative of a broker-dealer, futures commission merchant (“FCM”), commodity pool operator (“CPO”), or commodity trading advisor (“CTA”), nor is he an associated person of an FCM, CPO, or CTA.
Mr. Brown is not actively engaged in any business or occupation for compensation not discussed in response to Item 4(A), above, that provides a substantial source of Mr. Brown’s income or involves a substantial amount of Mr. Brown’s time.
Mr. Brown does not receive any economic benefit associated with the sale of financial instruments or client referrals.
Mr. Brown’s performance, activities and the advice he provides to clients are supervised by the Director of Financial Planning, Christopher Pimpo. Christopher can be reached at (866) 413-7883.