Look to us for guidance when selecting the investment options that best fit your needs. We get to know your financial goals and work to develop personalized solutions that fit your life and your future plans.
Whether you're just getting started or already have investing experience, we help you put your money to work in a way that reflects your values and long-term vision. Our portfolio management solutions are designed to support your goals at any stage, with accessible minimum balance requirements and sophisticated guidance that meets your needs. It's about growing your future with intention, so you can stay focused on what matters most to you1.
Learn MoreOur planning process is rooted in listening, allowing us to design a strategy that reflects your values and aspirations. No matter whether you're just getting started or have already accumulated substantial assets, we can create and execute a plan tailored to your specific financial goals and circumstances1.
Learn MoreOur tailored solutions for individuals and families with more complex financial needs offer a highly personalized approach aligned with your long-term vision. We work to deliver the future you want while helping you manage and preserve the wealth you've worked so hard to build—today and for generations to come1.
Learn MoreLife brings uncertainties but protecting what matters most—whether it's your family, your business or other assets—shouldn't be one of them. Take proactive steps to protect your family, future, and the life you've built with insurance solutions tailored to safeguard your loved ones and assets from the unexpected2.
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1Products and services offered through F.N.B. Wealth Management, which refers to the combined offerings of First National Trust Company, F.N.B. Investment Advisors, Inc., and F.N.B. Investment Services (a marketing name for Cetera Investment Services LLC/Cetera Investment Advisers LLC). Located at: 626 Washington Place Pittsburgh, PA 15219 / 1-877-871-7680.
2F.N.B Investment Services is a marketing name of Cetera Investment Services. Securities and insurance products are offered through Cetera Investment Services LLC (doing insurance business in CA as CFG STC Insurance Agency LLC), member FINRA/SIPC
.Advisory services are offered through Cetera Investment Advisers LLC. Neither firm is affiliated with the financial institution where investment services are offered. This site is published for residents of the United States only. Registered Representatives of Cetera Investment Services LLC may only conduct business with residents of the states and/or jurisdictions in which they are properly registered. Not all of the products and services referenced on this site may be available in every state and through every advisor listed. For additional information please contact the advisor(s) listed on the site, visit the Cetera Investment Services LLC site at www.ceterainvestmentservices.com
Check the background of a F.N.B Investment Services professional on FINRA’s BrokerCheck. Click here to view Cetera Investment Services Privacy Policy
, other Important Information
and Business Continuity Plan
Investments are:
Not FDIC/NCUSIF Insured | Not Financial Institution Guaranteed | May Lose Value |
Not Insured by Any Federal Government Agency | Not a Bank Deposit |
F.N.B. Investment Advisors, Inc. is a registered investment adviser. Registration of an Investment Adviser does not imply any level of skill or training. Additional information about us is also available on the SEC’s website at https://www.advisorinfo.sec.gov, using CRD # 109515 and SEC # 801-56609.
F.N.B. Wealth Management does not provide legal, tax or accounting advice.
*A CERTIFIED FINANCIAL PLANNER™ (CFP®) certification is given to those who have completed the CFP® program administered by the CFP Board. CFP® professionals meet rigorous education, training and ethical standards, and are committed to serving their clients' best interests today to prepare them for a more secure tomorrow.
*A Certified Trust and Fiduciary Advisor (CTFA) designation is given to those who have met eligibility requirements and passed the CFTA examination administered by the American Bankers Association (ABA).
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