Sunflower Wealth Advisors LLC
Sunflower Bank acts as a fiduciary for the day-to-day management of client investment accounts such as fiduciary and custody products and services, including discretionary portfolio management. Portfolio management and investment strategy for investment accounts is provided by Sunflower Wealth Advisors LLC (“Sunflower Wealth Advisors”).
Sunflower Wealth Advisors is an SEC-registered investment adviser, and its only investment advisory activity is the provision of sub-advisory services to its sole client (and affiliate) Sunflower Bank. Both Sunflower Wealth Advisors and Sunflower Bank are wholly owned by FirstSun Capital Bancorp.
For more information about Sunflower Wealth Advisors, go to adviserinfo.sec.gov and search by the firm name or CRD #269963 or contact a Sunflower Bank Wealth Management Advisor.
Leadership
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John E. Sawyer, CFA
Chief Investment Officer & Director of Wealth Management and Private Banking
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Investment Management Research Team
Investment and insurance products are not FDIC-insured, are not a deposit or other obligation of, or guaranteed by the bank or an affiliate of the bank, are not insured by any federal government agency and are subject to investment risks, including possible loss of the principal amount invested.