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Native American Fund Advisors

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uuid002rmrv

Namestring
Native American Fund Advisors
Legal namestring
Native American Fund Advisors
Company typeenum
Private
Founded yearint
1996
Descriptiontext

Native American Fund Advisors (NAFA) is an independent Registered Investment Advisory firm founded in 1996 and headquartered on Historic Cherry Street in Tulsa, Oklahoma. The firm operates with a team of eight professionals whose combined experience exceeds 100 years across finance, accounting, law, tax planning, risk, and asset management. Its core offering consists of five proprietary discretionary portfolio strategies — Blue Chip, Convertible/High-Yield, Intermediate Bond, Midstream Energy (MLP-focused), and Small Cap Value — complemented by a full suite of customized financial planning services. Each mandate is constructed on an individualized basis aligned with the client's time horizon, risk tolerance, and return objectives, and the firm operates as a fiduciary under the Registered Investment Advisor regulatory standard.

NAFA generates revenue entirely through recurring, AUM-based annual management fees, tiered by strategy: 1.00% for Small Cap Value, 0.75% for Midstream Energy and Convertible/High-Yield, and 0.50% for Intermediate Bonds and Blue Chip. Each fee is positioned below the relevant comparable mutual fund expense category average. Distribution is conducted through direct client relationships and referrals, with no institutional sales force, marketing automation, or multi-office footprint; the firm's operating geography is limited to the Midwest / Tulsa market. Multiple investment strategies share a passively managed, low-turnover design philosophy intended to minimize transaction costs and tax friction, though no technology platform, AI tooling, or proprietary model is described in the disclosure.

The business model is conventional for a boutique RIA: revenue tracks market-value-linked AUM, scaling modestly with equity-market appreciation and shrinking with drawdowns. The firm has no disclosed parent company, external investors, funding rounds, partnerships, acquisitions, or M&A activity. Leadership is concentrated in Managing Partner David Poarch, CIO Brett Kramer, and Partner/Financial Planner Joel Kantor, supported by Financial Planner/Portfolio Manager Aimee Boyer and Financial Analyst/Trader Robert Moore. Key risks implied by the data include limited AUM transparency, heavy key-person dependency on a small advisory bench, geographic concentration in a single regional market, and the absence of any visible technology, marketing, or growth-investment roadmap.

Short descriptiontext

Native American Fund Advisors is an independent Registered Investment Advisor in Tulsa, OK, offering five proprietary portfolio strategies (Blue Chip, Convertible/High-Yield, Intermediate Bond, Midstream Energy, Small Cap Value) and customized financial planning to individual and family clients on a fiduciary, AUM-based fee model.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
1–10
akta.pro rankint
HeadquartersTulsa, United States
HQ citystring
Tulsa
HQ countrystring
United States
HQ regionstring
North America
Markets served

Serves global market

Offices1 record

Each record includes

City, Country, Type, Description, Source

Keyword5 values
investment management services, registered investment advisor, portfolio management strategies, financial planning services, asset management advisory
Industry3 codes
1Registered Investment Advisor (RIA) Wealth Management
CodeFSAEABAAPrimaryYes
2Investment Management Advisory (RIA)
CodeFSAEAAABPrimaryNo
3Financial Planning–Led RIAs
CodeFSAAACABPrimaryNo
NAICS code2 codes
  • Portfolio Management and Investment Advice523940
  • Portfolio Management and Investment Advice52394
SIC code1 code
  • Investment Advice6282
Product category
Investment Advisory & Wealth Management
Social media profiles1 record
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model1 record
1Asset Under Management (AUM) Fees
TypeSubscription Recurring
Description

Charges annual management fees based on the market value of assets under management. Fee rates vary by strategy: 1.00% for Small Cap Value, 0.75% for Midstream Energy and Convertible/High-Yield, 0.50% for Intermediate Bonds and Blue Chip. Revenue is recurring based on client AUM levels.

indianfundadvisors.com
Marketing channels2 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels1 record

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components5 values
Personnel, Operations, Marketing or Sales, Technology or R&D, Infrastructure
Pricing details5 tiers
1Small Cap Value Portfolio Management
ModelSubscriptionBilling cadenceAnnual
Notes

1.00% annually of market value of assets in portfolio (vs average small cap stock mutual fund expense ratio of 1.10%)

indianfundadvisors.com
2Midstream Energy Strategy Management
ModelSubscriptionBilling cadenceAnnual
Notes

0.75% annually of market value of assets in portfolio (vs average MLP stock mutual fund expense ratio of 1.53%)

indianfundadvisors.com
3Intermediate Bond Portfolio Management
ModelSubscriptionBilling cadenceAnnual
Notes

0.50% annually of market value of assets in portfolio (vs average corporate bond mutual fund expense ratio of 0.73%)

indianfundadvisors.com
4Blue Chip Portfolio Management
ModelSubscriptionBilling cadenceAnnual
Notes

0.50% annually of market value of assets in portfolio (vs average growth and income mutual fund expense ratio of 0.95%)

indianfundadvisors.com
5Convertible/High-Yield Portfolio Management
ModelSubscriptionBilling cadenceAnnual
Notes

0.75% annually of market value of assets in portfolio (vs average convertible securities mutual fund expense ratio of 1.30%)

indianfundadvisors.com
GTM typeB2C
B2C
Offering typeServices
Services
Core offering1 text field

Native American Fund Advisors is an independent, locally owned Registered Investment Advisor that provides customized investment management and financial planning services. The firm offers five proprietary portfolio strategies—Blue Chip, Convertible/High-Yield, Intermediate Bonds, Midstream Energy, and Small Cap Value—built around each client's time horizon, risk tolerance, and return expectations, supplemented by full-suite financial planning. Services are delivered on a fiduciary basis under the RIA standard.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 5 values shown
  • Blue Chip Portfolio 1-year net return: 14.44%
+4 more records
Product overview1 text field

Native American Fund Advisors offers a unified investment management platform consisting of five distinct portfolio strategies: the Blue Chip Portfolio (passively managed, tracking Dow Jones Industrials), Convertible/High-Yield Portfolio, Intermediate Bond Portfolio, Midstream Energy Strategy (MLP-focused), and Small Cap Value Portfolio. These strategies are complemented by comprehensive financial planning services. The firm operates as a bundled service model where all offerings are provided directly by the advisory team through customized portfolios, with each strategy having its own investment objective, fee structure, and performance benchmarks.

Product and service6 records
1Blue Chip Portfolio
CategoryInvestment Strategy - Large Cap / Passive
Description

A passively managed portfolio strategy seeking to provide performance similar to the Dow Jones Industrials, with very low turnover and low transaction costs (under ~5% annually). Designed for investors seeking long-term returns consistent with large-capitalization stocks; managed at a 0.50% annual fee.

2Convertible/High-Yield Portfolio
CategoryInvestment Strategy - Fixed Income / Convertibles
Description

Invests in convertible corporate bonds and convertible preferred stocks of publicly traded companies, seeking high total returns from income-producing securities with capital appreciation potential; managed at a 0.75% annual fee.

3Intermediate Bond Portfolio
CategoryInvestment Strategy - Fixed Income / Investment Grade
Description

Invests in investment grade corporate bonds plus U.S. Treasury or Federal Agency bonds with average maturity typically between 3–7 years, seeking higher yields and total returns than short-term bonds; managed at a 0.50% annual fee.

4Midstream Energy Strategy
CategoryInvestment Strategy - Energy / MLPs
Description

Invests in publicly traded master limited partnerships (MLPs) and pipeline companies, seeking high levels of tax-sheltered income and capital appreciation; managed at a 0.75% annual fee.

5Small Cap Value Portfolio
CategoryInvestment Strategy - Small Cap / Value
Description

Seeks companies trading at a discount to book value, low price-to-earnings multiple, or low ratio to projected cash flow, investing in a diversified portfolio of small company stocks to lower risk while retaining high return potential; managed at a 1.00% annual fee.

6Financial Planning Services
Scale indicator3 records

Each record includes

Type, Value, Description, Source

Recent move5 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight3 records

Each record includes

Type, Description

Peers10 records
TypeDirect peer
Description

Large multi-strategy RIA offering customized portfolio management and financial planning to individuals and families, directly comparable to NAFA's fiduciary wealth management model.

TypeBroad incumbent
Description

Multi-family office providing customized portfolio management and wealth advisory to ultra-high-net-worth families; broader scale but directly comparable service offering.

TypeBroad incumbent
Description

National advisory firm offering portfolio management and financial planning to individual investors; overlaps with NAFA's retail advisory focus but at far greater scale.

TypeBroad incumbent
Description

Established private bank's wealth management arm offering customized investment advisory and financial planning; broader institution but overlapping RIA-style service to high-net-worth clients.

TypeDirect peer
Description

Mid-size independent RIA providing holistic wealth management and customized investment strategies to families and institutions, comparable in service model and size tier.

TypeDirect peer
Description

Faith-based RIA offering personalized portfolio management, financial planning, and multi-strategy solutions to high-net-worth individuals, similar in client-centric, customized model.

TypeDirect peer
Description

Independent RIA providing customized investment management and financial planning; competes with NAFA in the same fiduciary, fee-based advisory segment.

TypeEmerging player
Description

Fast-growing RIA platform supporting independent advisors with portfolio management and business infrastructure; comparable in fiduciary wealth advisory model but with broader advisor network.

TypeBroad incumbent
Description

Large asset manager offering portfolio strategies across multiple asset classes to high-net-worth and institutional clients; relevant incumbent competing for similar mandates.

TypeBroad incumbent
Description

Large-scale registered investment advisor offering managed portfolios and financial planning; competes on fee and customization, leveraging Schwab's custody and technology platform.

Market position
Strengths4 records

Each record includes

Headline, Details, Source

Weaknesses4 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks5 records

Each record includes

Headline, Details, Source

Key highlights5 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Segment5 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile1 record

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

AI maturity
App detail

Has app

Feature5 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles5 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
No data
Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Native American Fund Advisors

Investment Advisory & Wealth Managementindianfundadvisors.com

Native American Fund Advisors is an independent Registered Investment Advisor in Tulsa, OK, offering five proprietary portfolio strategies (Blue Chip, Convertible/High-Yield, Intermediate Bond, Midstream Energy, Small Cap Value) and customized financial planning to individual and family clients on a fiduciary, AUM-based fee model.

What Native American Fund Advisors does

Native American Fund Advisors (NAFA) is an independent Registered Investment Advisory firm founded in 1996 and headquartered on Historic Cherry Street in Tulsa, Oklahoma. The firm operates with a team of eight professionals whose combined experience exceeds 100 years across finance, accounting, law, tax planning, risk, and asset management. Its core offering consists of five proprietary discretionary portfolio strategies — Blue Chip, Convertible/High-Yield, Intermediate Bond, Midstream Energy (MLP-focused), and Small Cap Value — complemented by a full suite of customized financial planning services. Each mandate is constructed on an individualized basis aligned with the client's time horizon, risk tolerance, and return objectives, and the firm operates as a fiduciary under the Registered Investment Advisor regulatory standard.

NAFA generates revenue entirely through recurring, AUM-based annual management fees, tiered by strategy: 1.00% for Small Cap Value, 0.75% for Midstream Energy and Convertible/High-Yield, and 0.50% for Intermediate Bonds and Blue Chip. Each fee is positioned below the relevant comparable mutual fund expense category average. Distribution is conducted through direct client relationships and referrals, with no institutional sales force, marketing automation, or multi-office footprint; the firm's operating geography is limited to the Midwest / Tulsa market. Multiple investment strategies share a passively managed, low-turnover design philosophy intended to minimize transaction costs and tax friction, though no technology platform, AI tooling, or proprietary model is described in the disclosure.

The business model is conventional for a boutique RIA: revenue tracks market-value-linked AUM, scaling modestly with equity-market appreciation and shrinking with drawdowns. The firm has no disclosed parent company, external investors, funding rounds, partnerships, acquisitions, or M&A activity. Leadership is concentrated in Managing Partner David Poarch, CIO Brett Kramer, and Partner/Financial Planner Joel Kantor, supported by Financial Planner/Portfolio Manager Aimee Boyer and Financial Analyst/Trader Robert Moore. Key risks implied by the data include limited AUM transparency, heavy key-person dependency on a small advisory bench, geographic concentration in a single regional market, and the absence of any visible technology, marketing, or growth-investment roadmap.

Native American Fund Advisors firmographics

Firmographics
Name
Native American Fund Advisors
Legal name
Native American Fund Advisors
Website
https://indianfundadvisors.com
Company type
Private
Founded year
1996
Operating status
Operating
Headcount range
1–10 employees
Short description
Native American Fund Advisors is an independent Registered Investment Advisor in Tulsa, OK, offering five proprietary portfolio strategies (Blue Chip, Convertible/High-Yield, Intermediate Bond, Midstream Energy, Small Cap Value) and customized financial planning to individual and family clients on a fiduciary, AUM-based fee model.
Ownership category
akta.pro rank

Native American Fund Advisors industry classification

Industry
Product category
Investment Advisory & Wealth Management
NAICS
Portfolio Management and Investment Advice (523940), Portfolio Management and Investment Advice (52394)
SIC
Investment Advice (6282)
akta.pro primary industry
Registered Investment Advisor (RIA) Wealth Management (FSAEABAA)
akta.pro secondary industries
Investment Management Advisory (RIA) (FSAEAAAB), Financial Planning–Led RIAs (FSAAACAB)

Keywords

  • Investment management services
  • Registered investment advisor
  • Portfolio management strategies
  • Financial planning services
  • Asset management advisory

Where Native American Fund Advisors is headquartered

Location

Headquarters

HQ city
Tulsa
HQ country
United States
HQ region
North America

Offices1 record

Markets served

Native American Fund Advisors business model

Business model
GTM type
B2C
Offering type
Services
Cost components
Personnel, Operations, Marketing or Sales, Technology or R&D, Infrastructure

Revenue model

  1. Asset Under Management (AUM) Fees: Charges annual management fees based on the market value of assets under management. Fee rates vary by strategy: 1.00% for Small Cap Value, 0.75% for Midstream Energy and Convertible/High-Yield, 0.50% for Intermediate Bonds and Blue Chip. Revenue is recurring based on client AUM levels.

Pricing tiers

ModelBillingPrice
SubscriptionAnnualSmall Cap Value Portfolio Management
SubscriptionAnnualMidstream Energy Strategy Management
SubscriptionAnnualIntermediate Bond Portfolio Management
SubscriptionAnnualBlue Chip Portfolio Management
SubscriptionAnnualConvertible/High-Yield Portfolio Management

Go-to-market motion1 record

Distribution channels1 record

Marketing channels2 records

Native American Fund Advisors product offering

Product offering

Core offering

Native American Fund Advisors is an independent, locally owned Registered Investment Advisor that provides customized investment management and financial planning services. The firm offers five proprietary portfolio strategies—Blue Chip, Convertible/High-Yield, Intermediate Bonds, Midstream Energy, and Small Cap Value—built around each client's time horizon, risk tolerance, and return expectations, supplemented by full-suite financial planning. Services are delivered on a fiduciary basis under the RIA standard.

Product overview

Native American Fund Advisors offers a unified investment management platform consisting of five distinct portfolio strategies: the Blue Chip Portfolio (passively managed, tracking Dow Jones Industrials), Convertible/High-Yield Portfolio, Intermediate Bond Portfolio, Midstream Energy Strategy (MLP-focused), and Small Cap Value Portfolio. These strategies are complemented by comprehensive financial planning services. The firm operates as a bundled service model where all offerings are provided directly by the advisory team through customized portfolios, with each strategy having its own investment objective, fee structure, and performance benchmarks.

Differentiator

Problem solved

Functional benefit

Products and services

  • Blue Chip Portfolio A passively managed portfolio strategy seeking to provide performance similar to the Dow Jones Industrials, with very low turnover and low transaction costs (under ~5% annually). Designed for investors seeking long-term returns consistent with large-capitalization stocks; managed at a 0.50% annual fee.
  • Convertible/High-Yield Portfolio Invests in convertible corporate bonds and convertible preferred stocks of publicly traded companies, seeking high total returns from income-producing securities with capital appreciation potential; managed at a 0.75% annual fee.
  • Intermediate Bond Portfolio Invests in investment grade corporate bonds plus U.S. Treasury or Federal Agency bonds with average maturity typically between 3–7 years, seeking higher yields and total returns than short-term bonds; managed at a 0.50% annual fee.
  • Midstream Energy Strategy Invests in publicly traded master limited partnerships (MLPs) and pipeline companies, seeking high levels of tax-sheltered income and capital appreciation; managed at a 0.75% annual fee.
  • Small Cap Value Portfolio Seeks companies trading at a discount to book value, low price-to-earnings multiple, or low ratio to projected cash flow, investing in a diversified portfolio of small company stocks to lower risk while retaining high return potential; managed at a 1.00% annual fee.
  • Financial Planning Services

Quantifiable outcome

  • Blue Chip Portfolio 1-year net return: 14.44%
  • +4 more outcomes

Companies that use Native American Fund Advisors

Customer profile

Segments5 records

Ideal customer profiles1 record

Native American Fund Advisors technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Feature5 records

Native American Fund Advisors partnerships and signals

Strategic signal

Scale indicators3 records

Recent moves5 records

Expansion highlights3 records

Native American Fund Advisors competitors and assessment

Company assessment

Direct peers

  • Creative Planning: Large multi-strategy RIA offering customized portfolio management and financial planning to individuals and families, directly comparable to NAFA's fiduciary wealth management model.
  • Oxford Financial Group: Mid-size independent RIA providing holistic wealth management and customized investment strategies to families and institutions, comparable in service model and size tier.
  • Ronald Blue Trust: Faith-based RIA offering personalized portfolio management, financial planning, and multi-strategy solutions to high-net-worth individuals, similar in client-centric, customized model.
  • Mariner Wealth Advisors: Independent RIA providing customized investment management and financial planning; competes with NAFA in the same fiduciary, fee-based advisory segment.

Broad incumbents

  • Bessemer Trust: Multi-family office providing customized portfolio management and wealth advisory to ultra-high-net-worth families; broader scale but directly comparable service offering.
  • Edward Jones: National advisory firm offering portfolio management and financial planning to individual investors; overlaps with NAFA's retail advisory focus but at far greater scale.
  • Brown Brothers Harriman Wealth Management: Established private bank's wealth management arm offering customized investment advisory and financial planning; broader institution but overlapping RIA-style service to high-net-worth clients.
  • Fisher Investments: Large asset manager offering portfolio strategies across multiple asset classes to high-net-worth and institutional clients; relevant incumbent competing for similar mandates.
  • Charles Schwab Wealth Advisory: Large-scale registered investment advisor offering managed portfolios and financial planning; competes on fee and customization, leveraging Schwab's custody and technology platform.

Emerging players

  • Carson Group: Fast-growing RIA platform supporting independent advisors with portfolio management and business infrastructure; comparable in fiduciary wealth advisory model but with broader advisor network.

Market position

Strengths4 records

Weaknesses4 records

Competitive moat4 records

Key risks5 records

Key highlights5 records

Customer concentration

Native American Fund Advisors social profiles

Digital presence

Native American Fund Advisors financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Native American Fund Advisors leadership team

Management profile

Number of profiles

Profiles5 records

Native American Fund Advisors funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Native American Fund Advisors M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Native American Fund Advisors

What does Native American Fund Advisors do?

Native American Fund Advisors is an independent, locally owned Registered Investment Advisor that provides customized investment management and financial planning services. The firm offers five proprietary portfolio strategies—Blue Chip, Convertible/High-Yield, Intermediate Bonds, Midstream Energy, and Small Cap Value—built around each client's time horizon, risk tolerance, and return expectations, supplemented by full-suite financial planning. Services are delivered on a fiduciary basis under the RIA standard.

Is Native American Fund Advisors a public or private company?

Native American Fund Advisors is a private company. It is classified as founder individual operated bootstrapped and is currently operating.

When was Native American Fund Advisors founded?

Native American Fund Advisors was founded in 1996. It employs 1 to 10 people.

Where is Native American Fund Advisors based?

Native American Fund Advisors is headquartered in Tulsa, United States, in the North America region.

How does Native American Fund Advisors make money?

One revenue line is on record: asset Under Management (AUM) Fees.

Who are Native American Fund Advisors's main competitors?

Direct peers on record are Creative Planning, Oxford Financial Group, Ronald Blue Trust and Mariner Wealth Advisors. Broad incumbents are Bessemer Trust, Edward Jones, Brown Brothers Harriman Wealth Management, Fisher Investments and Charles Schwab Wealth Advisory. Carson Group is listed as an emerging player.

Does Native American Fund Advisors have an API?

No public API is recorded for Native American Fund Advisors.

What industry is Native American Fund Advisors in?

Native American Fund Advisors's product category is Investment Advisory & Wealth Management. Its primary akta.pro industry code is FSAEABAA, Registered Investment Advisor (RIA) Wealth Management, with a secondary code of FSAEAAAB, Investment Management Advisory (RIA). Its NAICS code is 523940 and its SIC code is 6282.

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