GARRETT BOYD

Financial Advisor

gboyd@nwfllc.com

(703) 828-0753

“I believe that to be an effective financial advisor it’s important to listen more than speak, keep things as simple as possible, provide value that exceeds any cost, and be worthy of the trust and confidence my clients have placed in me.”   — Garrett Boyd, 
Financial Advisor

PARTNERING AND PLANNING WITH PURPOSE.

Garrett Boyd joined Northwest Financial Advisors in September 2022 as a Financial Advisor. He offers individuals and businesses advice and support in building, managing and protecting the financial resources that help make their life’s aspirations possible.

Garrett began his financial services career in 2011 at State Street Bank. He moved to Putnam Investments in 2014 where he worked on the firm’s fixed income trading desk as a Data Analyst. In 2016, he transitioned to a sales role at Pioneer Investments, starting as a Divisional Sales Associate, moving up to a Regional Sales Specialist, and subsequently, a Regional Vice President. In this role, he provided financial advisors insight on capital markets, current trends and recommended investment products based on the latest economic backdrop. After partnering with advisors over the past six years, Garrett recognized the impact sound financial advice can make in the lives of individuals and families and developed an interest in personally helping them pursue their financial and retirement goals. In his own words, he is “passionate about helping clients get into a position where they don’t have to worry about outliving their money.”

With over a decade of experience in the financial services industry, Garrett offers his clients not only enthusiasm in his work, but extensive investment product knowledge as well as market analysis and client service skills.

Garrett holds Financial Industry Regulatory Authority (FINRA®) Series 7, 66, 6 and 63 licenses.* He is also licensed to sell health, life and annuities products. He is a graduate of Merrimack College where he obtained a bachelor’s degree in Business Administration and Management. At Merrimack, he was a scholarship football player and team captain, as well as a winner of the team’s Unsung Hero Award, an award recognizing his positive influence and personal contributions to the team.

Garrett lives in Chantilly, Virginia with his wife, Jenna, and infant son, Logan. Having lived in Boston before moving to Virginia, he is a big Boston sports fan. In addition to sports, he enjoys spending time with his family, golfing and any activity near or on the water.

 * Licensing held through LPL Financial. 

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The LPL Financial registered representative associated with this website may discuss and/or transact business only with residents of the states in which they are properly registered or licensed. No offers may be made or accepted from any resident of any other state.

Securities are offered through LPL Financial (LPL), a registered broker-dealer (member FINRA/SIPC). Insurance products are offered through LPL or its licensed affiliates. Investment advice offered through Northwest Financial Advisors, a registered investment advisor and separate entity from LPL Financial. Northwest Federal Credit Union (NWFCU) is not registered as a broker-dealer or investment advisor. Registered representatives of LPL offer products and services using Northwest Financial Advisors, and may also be employees of NWFCU. These products and services are being offered through LPL or its affiliates, which are separate entities from, and not affiliates of, NWFCU or Northwest Financial Advisors. Securities and insurance offered through LPL or its affiliates are:

Not Insured by NCUA or Any Other Government Entity  |  Not Credit Union Guaranteed  |  Not Credit Union Deposits or Obligations  |  May Lose Value

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GARRETT BOYD
Financial Advisor

gboyd@nwfllc.com  |  703-828-0753

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Secure Act 2.0 and Your Retirement Plan  .  2023

Learn how the passing of SECURE Act 2.0 impacts your retirement planning. Financial Advisor Garrett Boyd reviews: 

• The primary provisions of the Act, timeline for rollout and provision expirations 
• Opportunities the Act brings to retirement income investors 
• Tax implications of the Act and more

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