Paladin Wealth Management

Paladin Wealth Management First Responder Financial Planning The Adviser does not attempt to furnish personalized investment advice or services through this website.

Coty Barker, Chief Executive Officer CRD #: 7007969 --- Paladin Wealth Management, LLC CRD #: 324427

Paladin Wealth Management is a registered investment advisor. This website is only intended for clients and interested investors residing in states in which the Adviser is qualified to provide investment advisory services or qualifies for an exemption or exclusion from registration requirem

ents. Please contact Paladin Wealth Management at 901-569-3554 to find out if the investment adviser is qualified to provide investment advisory services in the state where you reside. Past performance is no guarantee of future results. Accordingly, the publication of Paladin Wealth Management's website should not be construed by any client and/or interested investor as Paladin Wealth Management’s solicitation to effect, or attempt to effect transactions in securities, or the rendering of personalized investment advice for compensation, over the Internet. Any subsequent, direct communication by Paladin Wealth Management with a client or interested investor shall be conducted by a representative that is either registered or qualifies for an exemption and/or exclusion from registering in the state where the prospective investor resides. At certain places on our website, we offer direct access or ‘links’ to other Internet websites. These sites contain information that has been created, published, maintained, or otherwise posted by institutions or organizations independent of Paladin Wealth Management. Paladin Wealth Management does not endorse, approve, certify, or receive compensation from or control these websites and does not assume responsibility for the accuracy, completeness, or timeliness of the information located there. Visitors to these websites should not use or rely on the information contained therein until consulting with an adviser. Paladin Wealth Management does not necessarily endorse or recommend any commercial product or service described on these websites. Any reports and/or information you may receive are digital tools intended to review your current financial situation and/or risk tolerance generalization and suggest potential planning ideas and concepts that may be beneficial. The purpose of any report is to illustrate how accepted financial and estate planning principles may improve your current situation. All reports are based on information and assumptions provided by the client. Reports provide broad and general guidelines on the advantages of certain financial planning concepts and do not constitute a recommendation of any particular strategy. The consolidated reports are provided for informational purposes as a courtesy to you. All reports should be reviewed in conjunction with your custodial statement and any applicable disclosure information provided. Reports may not reflect all holdings or transactions, their costs, or proceeds received by the client. It may contain information on assets that are not held at the custodian or assets with whom your Advisor has no affiliation in providing investment advice. As such, those assets will not be included in the custodian’s or Advisor’s books and records. Prices that may be indicated in these reports are obtained from sources we consider reliable but are not guaranteed. It is important to compare the information on these reports with the statements you receive from the custodian(s) for your account(s). Please note that there may be minor variations due to calculation methodologies. If you have any questions, please contact Paladin Wealth Management directly. The information contained in all reports is provided for guidance and informational purposes only and is not written or intended as financial, tax, or legal advice. The information provided herein may not be relied on for purposes of avoiding any federal tax penalties. You are encouraged to seek financial, tax, and legal advice from your professional advisors prior to implementing any strategy. We recommend that you review your plan annually unless changes in your personal or financial circumstances require more frequent review. For information pertaining to the registration status of Paladin Wealth Management and/or its representatives and to review a copy of Paladin Wealth Management’s current written disclosure statement discussing Paladin Wealth Management’s business operations, services, and fees is available on the SEC’s investment adviser public information website https://adviserinfo.sec.gov/firm/summary/324427 or from Paladin Wealth Management upon written request. Paladin Wealth Management does not make any representations or warranties as to the accuracy, timeliness, suitability, completeness, or relevance of any information prepared by any unaffiliated third party, whether linked to Paladin Wealth Management, Paladin Wealth Management's website or incorporated herein and takes no responsibility therefore. All such information is provided solely for convenience purposes only and all users thereof should be guided accordingly. This site is published for residents of the United States only. Investment Advisor Representatives may only conduct business with residents of the states and jurisdictions in which they are properly registered or qualifies for an exemption or exclusion from registration requirements. Therefore, a response to a request for information may be delayed until appropriate registration is obtained or an exemption from registration is determined. Not all of the services referenced on this site are available in every state and through every advisor listed. For additional information, please contact Paladin Wealth Management at 901-569-3554 for additional information.

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500 Main St.
Southaven, MS
38672

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Coty Barker, Financial Advisor.

Coty Barker is a Financial Advisor with Equitable Advisors. He previously served as a Dispatcher with the Memphis Police Department and now works regularly with First Responders and their families in the Mid-South.

At Equitable Advisors, Coty works with clients to provide financial planning, create sound investment strategies, and assist with insurance needs. He carries Financial Industry Regulatory Authority licenses in Series 7 and Series 66. He is also licensed in Variable lines, Life, Annuity, health and Accident, and Long-term care insurance. Prior to joining Equitable Advisors, Coty worked for Royal Alliance Associates where he helped clients with investment and wealth management needs.

Coty’s previous experience also includes handling insurance and data collection at Methodist North Hospital’s emergency room where he gained a depth of knowledge in the intricacies of insurance and the importance of planning and preparation, something he emphasizes regularly today with his clients.

Connecting his past experience with his current expertise in wealth management, he understands first-hand the nuances and complexities of financial planning for First Responders, medical, and military professionals.