Glenn Ryan, CSLP®

Financial Advisor

Check the background of this investment professional on FINRA’s BrokerCheck.

Glenn Ryan, CSLP®

Financial Advisor


Based in St. Louis, Glenn provides comprehensive financial services to physicians and medical professionals at various stages in their careers and financial situations. Glenn strives to make his clients’ finances work in the most appropriate and efficient way for their specific situation.

Understanding how hard his clients work and how many years they dedicate to their careers, Glenn’s priority is to be there for his clients and their families, so finances aren’t an added stress.

Glenn recognizes that conversations about money aren’t always easy to have. He focuses on getting to know you and your family and building trust first, so he can understand your unique circumstances and help to utilize the most applicable strategies necessary to pursue your goals.

Depending on your specific needs, his approach may include the following services:

  • Debt management (student loans, personal loans, credit cards, etc.)
  • Life, specialty-specific disability or long-term care insurance
  • Tax minimization strategies*
  • Wealth management
  • Asset protection strategies*
  • Retirement funding options (Solo 401k, SEP, 410k, 403b or Roth IRA)


  • Missouri State Life and Health
  • Securities Industry Essentials (SIE)
  • Series 7
  • Series 66
  • Certified Student Loan Professional, CSLP®


  • Asset protection strategies
  • Debt management
  • Wealth management
  • Medical professionals
  • Risk management
  • Tax-efficient investment strategies*

Work with Glenn

Inspired by his brother and now colleague, Jack Ryan, Glenn is dedicated to helping his clients reach their financial goals through solutions specific to resident, fellow, and attending physicians. If you want to make the commitment to your financial future, send Glenn an email at to set up a free, no-obligation consultation to discuss your current situation and which strategies may help you reach your financial goals.


Chase Brakke, DIA, DIF, CEPA®
Chase Brakke, DIA, DIF, CEPA®

Vice President of Business Owner Solutions

Chris Sitek, CLTC®, CASL®, CLU®, ChFC®, RHU®, REBC®
Chris Sitek, CLTC®, CASL®, CLU®, ChFC®, RHU®, REBC®

Vice President Life and Long-Term Care

Jeff Landt, CFA, CFP®
Jeff Landt, CFA, CFP®

Senior Vice President and Chief Investment Officer

Carrie Hancock, ChFC®, CLU®
Carrie Hancock, ChFC®, CLU®

Vice President, Financial Planning Resource Center


    St. Louis

    4240 Duncan Avenue
    Suite 200
    St. Louis, MO 63110


    Glenn is an investment advisor representative of Cetera Advisor Networks, LLC. CA Insurance License #4132096.