AdFi
SA

SFI Advisors, LLC

SEC Registered

We Can Help You Plan Your Future

Montclair, NJhttps://sfiadvisors.com973-744-1014
Assets Under Management
$100M–$500M
Employees
12
Office Locations
2 offices
Total Accounts
336

About the firm

Firm Focus

Client segments reported on the firm's SEC Form ADV — applies to all advisors at the firm.

IndividualsHigh Net WorthCharitable Organizations

Areas of expertise

Financial PlanningInvestment ManagementInsuranceCorporate ServicesHR PlanningEmployee BenefitsExecutive BenefitsRetirement Plan ManagementBusiness Succession

Services

Personalized planning, investment management, insurance services, corporate and HR planning, employee and executive benefits, retirement plan management, and business succession services.

Who they serve

Individuals, families, and corporate clients including employees and executives.

Client segmentClientsAssets managed
Individuals (Non-HNW)272$82M
High Net Worth Individuals32$94M

Leadership

John Henry Sampers
MANAGING MEMBER/CHIEF COMPLIANCE OFFICER
Christopher Robert Sampers
MEMBER

Office locations

2 offices in 2 states
NJ
MontclairHQ
GA
Buford

Advisors at this firm

4 advisors in the directory

Regulatory & compliance

CRD number
#287929
SEC Number
801-110293
Disciplinary History
No
Fee Model & Minimums
Model: AUM / Flat Fee
Minimum: $25,000 (waivable)

Data as of March 30, 2026 · Source: SEC IAPD & FINRA BrokerCheck

Contact Information

Editorial disclosure

This profile was compiled and published by AdvisorFinder as editorial content using publicly available information from the SEC's IAPD database and FINRA BrokerCheck. SFI Advisors, LLC 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 the SEC or FINRA websites before making any decision.

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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