Randall G. Larson
Professional summary
Being a previously registered professional could mean that this person is no longer operating under the supervision of the SEC or FINRA.
That means that the Securities and Exchange Commission may not be able to oversee the services that this specific professional is providing.
Randall Glenn Larson, CFP®, who also goes by Randy Larson, was a registered financial professional .
Randall is a previously registered financial professional and started their career in finance in 1980. Randall had worked at 9 firms and has passed the Series 65, Series 63, SIE, Series 7, Series 1, Series 51 and Series 24 exams.
Question & Answer
Aliases
Other business activities
CRS (Client Relationship Summary)
The CRS(Customer Relationship Summary) document is not provided.
Certified licenses
Start date: 1986
Experience
January 12, 2009 - October 25, 2023
WOODBURY FINANCIAL SERVICES, INC.
January 2, 2009 - October 25, 2023
WOODBURY FINANCIAL SERVICES, INC.
January 1, 2008 - December 21, 2010
LARSON FINANCIAL ADVISORS, INC.
March 14, 2006 - December 31, 2008
NEXT FINANCIAL GROUP, INC.
September 29, 2003 - August 7, 2008
CAPITAL PLANNING GROUP, LLC
August 4, 1989 - March 10, 2006
UNITED PLANNERS' FINANCIAL SERVICES OF AMERICA A LIMITED PARTNER
March 13, 1987 - August 9, 1989
TOWER SQUARE SECURITIES, INC.
August 15, 1983 - March 27, 1987
CETERA WEALTH SERVICES, LLC
May 27, 1981 - August 22, 1983
SOUTHMARK FINANCIAL SERVICES, INC.
March 6, 1980 - March 4, 1981
JOHN HANCOCK DISTRIBUTORS LLC
State Registrations and Notice Filings
Listed states reflect where the advisor is authorized to serve clients under state regulations.
Visual representation of state registrations
Exams
Series 1
Date: 2/25/1980
Registered Representative ExaminationCurrent Firm

WOODBURY FINANCIAL SERVICES, INC.
CRD#: 421 / SEC#: 801-54905, 8-13846
Contact information
FINRA licenses (2 States and Territories)
Documents
Direct owners and executive officers
| Name | Position | CRD# |
|---|---|---|
| OSAIC, INC. | SHAREHOLDER | |
| COONEY, JOHN MICHAEL | SVP, CHIEF COMPLIANCE OFFICER | 1326757 |
| CORNICK, GREGORY ALLEN | DIRECTOR | 3132991 |
| FERGESEN, RICHARD DAVID | CEO, PRESIDENT, DIRECTOR | 717938 |
| GERB, JASON | SVP, CHIEF REGULATORY OFFICER | 3021815 |
| HODGE, TIMOTHY ROBERT | CHIEF OPERATIONS OFFICER | 2220910 |
| NORTHRIP, IRYNA YAKOVLEVNA | CHIEF COMPLIANCE OFFICER, INVESTMENT ADVISORY | 6466657 |
| PRICE, JAMES DALE | CHAIRMAN | 1243224 |
| SCHLUETER, MATTHEW ADAM | EXECUTIVE VICE PRESIDENT, DIRECTOR | 2627931 |
| SCHMIDT, DAVID MARTIN | TREASURER, FINANCIAL AND OPERATIONS PRINCIPAL | 5675524 |
Regulatory assets under management
| Total Number of Accounts | 101,950 |
| AUM (Assets Under Management) | $ 19,278,448,046 |
Disclosures
| Regulatory Event | 24 |
| Arbitration | 10 |
| Bond | 1 |
Accountant surprise examination report
| Filing Date | Form ADV-E Cover | Form ADV-E Report |
|---|---|---|
| 01/26/2024 |
Red Flags
Disclosures can be potential red flags, including customer disputes, regulatory fines, employer terminations, bankruptcies, judgments, liens, or certain criminal activities.
Check for any disclosures as part of your thorough research when choosing an advisor.
