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Kevin Dale Kimery

Investment Adviser Representative at Kimery Wealth Management, LLC

Memphis, TNCRD #1385946Investment Adviser Representative
No disclosures on record
Sourced from SEC IAPD & FINRA BrokerCheck
Years of Experience
30 yrs
Exams Passed
6

Professional summary

Compiled by AdvisorFinder from public regulatory records. This advisor has not provided a personal biography.

Kevin Dale Kimery is an investment adviser representative with Kimery Wealth Management, LLC in Memphis, TN, where they have been registered since 2017. They have worked in the securities industry since 1996 and have been registered with 4 firms, including Morgan Stanley and Citigroup Global Markets Inc. They have passed 6 industry qualification exams, including the Series 65 (investment adviser), Series 7 (general securities representative), and Series 63 (state securities agent). They are registered to provide investment advice in Tennessee and Texas.

Registrations & licenses

Registration type
Investment Adviser Representative
As of August 17, 2026, from the advisor's current registrations on SEC IAPD
State registrations
Investment adviser:
Tennessee, Texas

Registration requirements vary by state and service. Contact the advisor's firm to confirm whether they can serve you.

Examinations passed
Series 65
Uniform Investment Adviser Law Examination
Passed 8/26/2002
Series 63
Uniform Securities Agent State Law Examination
Passed 7/24/2002
SIE
Securities Industry Essentials Examination
Passed 6/19/2017
Series 31
Futures Managed Funds Examination
Passed 6/25/2004
Series 3
National Commodity Futures Examination
Passed 9/2/1993
Series 7
General Securities Representative Examination
Passed 8/25/1993

Financial-firm registration history

Registration history as reported to FINRA, most recent first.

Kimery Wealth Management, LLCCurrent
6/19/2017 – Memphis, TN
Morgan Stanley
6/1/2009 – 6/19/2017Memphis, TN
Citigroup Global Markets Inc.
6/21/2005 – 6/1/2009Memphis, TN
Merrill Lynch Pierce Fenner & Smith Inc.
11/13/2002 – 6/23/2005Germantown, TN

Reported employment history

Employment the advisor reported on their SEC/FINRA filings, as of October 8, 2026. It may not be a complete history.

  1. Citigroup Global Markets Inc.
    Jun 2005 – Jun 2017Memphis, TN
  2. Morgan Stanley Smith Barney
    Jun 2009 – no end date reportedMemphis, TN
  3. Morgan Stanley Private BANK, National Association
    Jan 2015 – Jun 2017New York, NY
  4. Kimery Wealth Management, LLC
    Jun 2017 – no end date reportedMemphis, TN

Official records & sources

Data as of August 10, 2026 · Source: SEC IAPD & FINRA BrokerCheck

About Kimery Wealth Management, LLC

These details describe the firm overall. Individual advisors' services, clients, and fees may differ.

Fee arrangements the firm reports

  • Percentage of assets under management
  • Fixed fee

Arrangements the firm reports on its Form ADV; this advisor may not charge every fee listed. Estimated from the firm's Form ADV — individual terms may differ. Not a quote.

Services the firm offers

Financial PlanningPortfolio Management for Individuals and Small BusinessesPension ConsultingSelection of Other Advisers

Client types the firm serves

IndividualsHigh Net Worth

Firm assets under management

$500M–$1B

Firm disclosures (Form ADV)
No disciplinary history reportedVerify on SEC IAPD
Advisors listed on AdvisorFinder:
6
Offices listed on AdvisorFinder:
1
Main office:
Memphis, TN
SEC file number:
801-110623

Counts reflect AdvisorFinder directory coverage, not necessarily the firm's complete network.

Form ADV data as of September 11, 2026

View full firm profile

Other advisors at Kimery Wealth Management, LLC

5 other advisors in the directory

View Kimery Wealth Management, LLC firm profile

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Other advisors whose filed branch office is in the same city.

About this profile

This profile was compiled and published by AdvisorFinder as editorial content using publicly available information from the SEC's IAPD database and FINRA BrokerCheck. Kevin Dale Kimery has not reviewed, approved, or endorsed this profile and is not responsible for its accuracy. Regulatory records change over time — always verify the current record directly on BrokerCheck or SEC.gov before making any decision. AdvisorFinder may be compensated for referrals generated through this page.

BrokerCheck data is used subject to the FINRA BrokerCheck Terms of Use. Found something inaccurate? Report inaccurate data and we will correct any error we introduced. Errors in the underlying BrokerCheck record itself are referred to FINRA, which maintains that record.

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