Henley & Company Wealth Management LLC
Henley & Company Wealth Management LLC is a fee-only, SEC-registered investment adviser in Uniondale, New York, registered with the SEC since 2012, managing approximately $94M. As an SEC-registered adviser it is held to a fiduciary standard. Its exact fee schedule and account minimums are disclosed in Form ADV Part 2A.
Source: SEC Form ADV · CRD #144884 · SEC #801-77007 · SEC-registered since 2012 (14 yrs) · Last filing data January 1, 2026
- AUM
- $94M
- Fee model
- Fee-only
- Clients
- Not reported
- Employees
- 6
as of 2026
per Form ADV 5.E
Form ADV 5.C — may be institutional
3 advisers
Assets per adviser
$31Mper adviser
A scale-normalized measure that lets you compare large and small firms. The typical firm in our directory manages about $102M per adviser — this firm is more adviser-heavy (fewer assets per adviser).
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AI-generated summary
Henley & Company Wealth Management LLC is a fee-only, SEC-registered investment adviser based in Uniondale, New York. It reported approximately $94M in regulatory assets under management on its most recent Form ADV. The firm reports one or more disclosure events on Form ADV Item 11 — see the disclosures section below.
This summary is generated from Form ADV data and may not capture all nuances. Always review the complete SEC filing before making decisions.
Firm details
- CRD #
- 144884
- SEC #
- 801-77007
- Headquarters
- Uniondale, NY
- Employees
- 6
Clients served
Client types not reported on this filing.
Fees & compensation
- Compensation model: Fee-only — the firm reports being paid by clients (e.g. a percentage of assets) and not through commissions.
- Typical fee range: See Part 2A. Exact advisory fee rates are reported in Form ADV Part 2A, not Part 1.
- Account minimum: See Part 2A. Minimums are disclosed in the firm's Part 2A brochure.
- Custodial, trading, and fund expenses may apply in addition to advisory fees. See the firm's Form ADV Part 2A for the complete fee schedule.
Assets under management
| Year | Reported AUM |
|---|---|
| 2026 | $94M |
Reflects the most recent Form ADV filing. Multi-year history is added as additional historical filings are ingested.
Disclosures
2026 · SEC or CFTC regulatory disclosure
Henley & Company Wealth Management LLC reported one or more matters in this category on Form ADV Item 11. Form ADV Part 1 indicates that a disclosure exists but not its outcome; review the full Disclosure Reporting Pages on the SEC IAPD record for details and resolution.
- Detailed, AI-summarized breakdowns of each event are being rolled out across the directory. For now, review the full Disclosure Reporting Pages on the SEC IAPD record.
Frequently asked questions
Is Henley & Company Wealth Management LLC a fiduciary?+
Yes. Henley & Company Wealth Management LLC is an SEC-registered investment adviser (CRD #144884), which means it is held to a fiduciary standard and must act in its clients' best interest. Verify its current status on the SEC's Investment Adviser Public Disclosure (IAPD) site.
How is Henley & Company Wealth Management LLC compensated?+
Henley & Company Wealth Management LLC reports a fee-only compensation model on its Form ADV. Fee-only advisers are paid by their clients (for example, a percentage of assets managed) and do not earn commissions. Exact fee rates and account minimums are disclosed in the firm's Form ADV Part 2A brochure.
How much money does Henley & Company Wealth Management LLC manage?+
Henley & Company Wealth Management LLC reported approximately $94M in regulatory assets under management as of its most recent Form ADV filing.
Does Henley & Company Wealth Management LLC have any disclosures?+
Henley & Company Wealth Management LLC reported one or more disclosure events on Form ADV Item 11 (sec or cftc regulatory disclosure). A disclosure is not by itself a finding of wrongdoing; review the full Disclosure Reporting Pages on the SEC IAPD site.
This profile is generated from publicly available SEC filings. Henley & Company Wealth Management LLC has not verified or endorsed this information. Last updated from filings: January 1, 2026. View the official filing at SEC IAPD.