// Let’s Talk About Xennials // Author: Taylor Haney Much ado has been made about Millenials. Some good, some bad. Ok, mostly bad. Wait, I thought this article was about Xennials? It is. Let me get there. As I was saying, Millenials seem to get all the attention these days. I’d argue it’s mostly unwarranted...Read More
Photo Credit: Luhaney Photography // Kids Cost What? (The Real Cost of Raising a Child) // Author: Taylor Haney I have three children at home–need I say more? Thank goodness for Megan. My wife is a full-time caregiver, life giver. She manages our home. I manage our finances. Her job is way more difficult....Read More
Listen to Learn > Listen to Respond Author: Mike Simpson When I first started my career some thirty year ago I knew nothing and knew nobody. Pardon the grammar, but it’s the truth. That didn’t stop me, though. I had energy and a desire to learn! Here’s the thing about learning, though: the...Read More
// How Brazilian Jiu-Jitsu Made Me a Better Businessman // Author: Taylor Haney I’m a glutton for punishment. It’s no secret. I regularly weight train and grapple with scary men 3-5 days a week…by choice. A little over three years ago I left the corporate world to pursue my own business; at that same time,...Read More
//What does “Community Family Office” mean?// Author: Roger Kiger Word on the street is that large brokerage firms and banks are now moving accounts less than $100,000 to a call center and not allowing local advisors to handle them. Does it make sense that investors and savers who are just starting their professional careers cannot...Read More
Visionary Horizons, LLC is a SEC Registered Investment Advisor located in Knoxville, Tennessee. Clients establish fee based accounts with a third party custodian, such as Charles Schwab & Co., Inc. (Schwab), TD Ameritrade Institutional, a division of TD Ameritrade, Inc. ("TD Ameritrade) or MTG, LLC dba Betterment Securities ("Betterment Securities"). All three firms are independent and unaffiliated SEC-registered broker-dealers and members of the Financial Industry Regulatory Authority ("FINRA") and the Securities Investor Protection Corporation ("SIPC"). These firms offer us services which include custody of securities, trade execution, clearance, and settlement of transactions.
Securities offered through Purshe Kaplan Sterling Investments, Member FINRA/SIPC, Headquartered at 18 Corporate Woods Blvd., Albany, NY 12211