RIA Intelligence
Registered investment advisers, the advisors registered through them, the capital they report, the private vehicles they run and the people who own them, as a graph with a filing date behind every number. RAUM is what the adviser filed, a move is two registration dates, and a class is a rule you can read.
- Title
- Chief Compliance Officerreportedprocyon.netfirm site, Sep 15, 2026
- Professional profile
- procyon.net/team/todd-smallwoodreportedprocyon.netfirm site, Sep 15, 2026
Only business contact points the firm published under its own name are shown; nothing is inferred, and personal accounts are never read. What the bio page says is printed as the firm printed it, with the sentence it came from; years are the firm’s claim, not a count of registrations.
- Procyon mixed wealth currentsince Nov 13, 2025 · Atlanta, Ga
- Sugarloaf Wealth Management, LLC formerJul 6, 2022 to Mar 12, 2025 · Duluth, Ga
- Triad Advisors, LLC formerOct 19, 2018 to Jul 12, 2022 · Atlanta, Ga
- Lindner Capital Advisors, Inc. formerApr 1, 2016 to Oct 12, 2018 · Atlanta, Ga
- Clear Investment Research, LLC institutionalDec 16, 2014 to Feb 18, 2016 · Alpharetta, Ga
- Sugarloaf Wealth Management, LLC to Procyonleft Mar 12, 2025, registered Nov 13, 2025 (246 days) · RIA to RIA
- Triad Advisors, LLC to Sugarloaf Wealth Management, LLCleft Jul 12, 2022, registered Jul 6, 2022 (-6 days) · Affiliated broker-dealer or bank to independent RIA
- Lindner Capital Advisors, Inc. to Triad Advisors, LLCleft Oct 12, 2018, registered Oct 19, 2018 (7 days) · RIA to affiliated broker-dealer or bank
- Clear Investment Research, LLC to Lindner Capital Advisors, Inc.left Feb 18, 2016, registered Apr 1, 2016 (43 days) · Other
- Todd Jones Smallwood left Sugarloaf Wealth Management, Llc for Procyon (registered 2025-11-13)Mar 12, 2025 · Advisor changed firm · fact
- Todd Jones Smallwood left Triad Advisors, Llc for Sugarloaf Wealth Management, Llc (registered 2022-07-06)Jul 12, 2022 · Advisor changed firm · fact
Mobility scoring is not published yet. The observable conditions this page will draw on once the historical validation is done: tenure, the firm’s own departures and ownership changes, new state registrations, a new adviser entity with this person on Schedule A, and colleagues’ moves. Until precision and lead time are measured on known moves, no label is printed. Read the methodology.
- Source
- IAPD individual compilation feedreportedadviserinfo.sec.gov
- Firm class
- Wealth manager with institutional or fund businessderived
- Years in industry
- 11derivedfrom the earliest dated exam, employment or registration
- Not published
- disclosure flags, outside business text, branch street address