Personal financial consulting and continuous investment management are offered by FFP Wealth Management (FFP) a Minnesota Registered Investment Advisor (RIA). FFP offers financial advisory services to clients only after our SEC required Disclosure Statement (ADV Part II) is provided to prospective clients and upon completion and signing of our Advisory Agreement(s). This web page is neither an offer of service nor a recommendation of specific financial advice to any particular individual. Our SEC ADV Part II Disclosure Statement contains essential information about our qualifications, methods, fees and business practices. An investor should always obtain and read the ADV Part II when considering employing an investment advisor. You may request a copy of the FFP ADV Part II by e-mail.