# Quiver Financial Holdings LLC

> Quiver Financial Holdings LLC is a state-registered investment advisory firm in San Clemente, CA, registered since 2020, reporting $25 million to $100 million in regulatory assets under management in its Form ADV filing dated June 3, 2026.

- CRD: 305224
- Filed as: QUIVER FINANCIAL HOLDINGS LLC
- Registration: State-registered investment adviser (status as filed: APPROVED)
- Location: San Clemente, CA
- Filing period: October 2026
- Form ADV filing dated: June 3, 2026
- Public record (IAPD): https://adviserinfo.sec.gov/firm/summary/305224
- AdvisorCensus page: https://advisorcensus.com/firm/quiver-financial-holdings-llc-san-clemente-ca-305224

## Quick answers

**How is Quiver Financial Holdings LLC compensated?**
On its Form ADV (Item 5.E, October 2026), Quiver Financial Holdings LLC reports these compensation arrangements: a percentage of assets under its management; hourly charges; subscription fees (for a newsletter or periodical); fixed fees (other than subscription fees); performance-based fees.

**Where is Quiver Financial Holdings LLC located?**
Quiver Financial Holdings LLC's principal office is in San Clemente, CA, according to its Form ADV.

**Is Quiver Financial Holdings LLC registered with the SEC or a state?**
Quiver Financial Holdings LLC is a state-registered investment advisory firm, registered since 2020. Status as filed: APPROVED. CRD 305224.

**How much does Quiver Financial Holdings LLC manage?**
Quiver Financial Holdings LLC reports $84,725,000 in regulatory assets under management in its Form ADV filing dated June 3, 2026 (99% discretionary).

**What types of clients does Quiver Financial Holdings LLC serve?**
By number of clients on Form ADV Item 5.D: individuals (other than high net worth individuals) (100); high net worth individuals (70); investment companies (1).

**Does Quiver Financial Holdings LLC report any disciplinary disclosures?**
Reports 4 disclosure items on Form ADV Item 11: yes answers to 11.D(1) (another regulator's finding of a false statement or omission, or of dishonest, unfair, or unethical conduct), 11.D(2) (another regulator's finding of a violation), 11.D(4) (another regulator's order in the past ten years), and 11.D(5) (another regulator's denial, suspension, or revocation of a registration or license, bar, or restriction). Each question covers the firm and its advisory affiliates, and one event can produce several yes answers. The detail of any item is on the firm's public record on IAPD: https://adviserinfo.sec.gov/firm/summary/305224

## From the Form ADV filing

### Compensation (Item 5.E)
- A percentage of assets under your management
- Hourly charges
- Subscription fees (for a newsletter or periodical)
- Fixed fees (other than subscription fees)
- Performance-based fees

### Regulatory assets under management (Item 5.F)
- Total: $84,725,000
- Discretionary: $84,000,000
- Non-discretionary: $725,000

### Clients (Item 5.D)

| Client type | Clients | Assets |
| --- | --- | --- |
| Individuals (other than high net worth individuals) | 100 | $47,000,000 |
| High net worth individuals | 70 | $37,000,000 |
| Investment companies | 1 | $725,000 |

### Advisory services (Item 5.G)
- Financial planning services
- Portfolio management for individuals and/or small businesses
- Publication of periodicals or newsletters

### Firm details
- Registered since: 2020 (6 years)
- Employees: 4 total, 3 performing advisory functions
- Wrap fee program participation: No
- States registered or notice-filed: CA
- Disclosures (Item 11): Reports 4 disclosure items on Form ADV Item 11.

### Item 11 questions answered yes
- 11.D(1): Has another federal regulator, a state regulator, or a foreign financial regulator ever found that the firm or an advisory affiliate made a false statement or omission, or was dishonest, unfair, or unethical?
- 11.D(2): Has another federal regulator, a state regulator, or a foreign financial regulator ever found that the firm or an advisory affiliate was involved in a violation of investment-related regulations or statutes?
- 11.D(4): In the past ten years, has another federal regulator, a state regulator, or a foreign financial regulator entered an order against the firm or an advisory affiliate in connection with investment-related activity?
- 11.D(5): Has another federal regulator, a state regulator, or a foreign financial regulator ever denied, suspended, or revoked the registration or license of the firm or an advisory affiliate, prevented either by order from associating with an investment-related business, or restricted either one's activity?

Each question covers the firm and its advisory affiliates: its current employees other than clerical staff, its officers, partners, and directors, and anyone who controls the firm or is controlled by it. One event can produce yes answers to several questions. SEC-registered advisers and exempt reporting advisers may leave out events more than ten years old, and may answer 11.A(2) and 11.B(2) for pending charges only. The detail of each yes answer is on the firm's public record on IAPD: https://adviserinfo.sec.gov/firm/summary/305224

### Websites listed on Form ADV (Item 1.I)
- quiverfinancial.com
- X @quiverfinancial

## Source

Form ADV as filed, October 2026. Values appear as filed. Cite as: AdvisorCensus. Quiver Financial Holdings LLC (CRD 305224): Form ADV filing data as of October 2026.
