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Director and Officer Fiduciary Duties & Liability (Telephone)

Show Me The Ethics! The Ethycal Way to Bill for Legal Services (Webinar)

Financial Exploitation of the Vulnerable: Beyond the Direct Impact

Fiduciary Standards in Business Transactions: Good faith and Fair Dealing (Telephone)

David O. Spinar
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Last updated: 8/18/2016
David O. Spinar
NSBA Regular Active
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Professional Information
RBC Wealth Management
Associate Vice President - Financial Advisor
6940 O St. #400
68510  United States
 [ Map ]
(402) 465-3800 (Phone)
(402) 465-3870 (Fax)
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Financial Planning
Personal Information
RBC Wealth Management — Financial Advisor
A.G. Edwards and Sons, Inc. (subsequently Wachovia Securities and Wells Fargo Advisors) — Financial Advisor
Securities America, Inc. and Securities America Advisors, Inc. — Senior Vice President and Chief Compliance Officer; Member, Executive Council; Member, Product Due Diligence Committee
I maintain active licenses for Annuities, Life, Health, Long-Term Care and Disability Insurance. I also maintain series 7, 3 and 66 registrations from the Financial Industry Regulatory Authority. Prior registrations included series 4 and 24.

2003 Financial Planning Association recognition for service as Chairman, Broker-Dealer Compliance Council
Named to 2004 Midlands Business Journal “40 under 40” list, honoring 40 Omaha entrepreneurs, business owners, managers and professionals
Social/Volunteer Organizations
The OpenSky Policy Institute
The Old Cheney Road Farmers Market
Friends of Wilderness Park
Great Plains Trail Network
Nebraska State Bar Association, 635 S. 14th St., Suite 200, Lincoln, NE 68508
(402) 475-7091; Toll Free (800) 927-0117; FAX (402) 475-7098