Big Enough to Deliver, Small Enough to Care.
(770) 977-7779

Bryan Wood / Chief Operating Officer, Chief Compliance Officer

Bryan Wood is Chief Operating Officer and Chief Compliance Officer of Lindner Capital Advisors, Inc. He supports Lindner’s team of investment professionals in serving financial advisors, nationwide, with back-office services and customized portfolio solutions.

Previously, Bryan was Principal and Equity Partner of Ironshore Capital and its legacy company. In this capacity, he managed the investment, positioning and sales of $100 million in residential and commercial real estate projects. In addition to business development, Bryan oversaw teams and programs to manage and monetize 16 of the firm’s 18 real estate holdings. Bryan’s market analysis and value modeling were utilized across the company to execute their capital strategy and ensure the success of key holdings.

Prior to his work with Ironshore Capital, Bryan spent ten years as a Vice President with Wachovia Bank (now Wells Fargo, NYSE:WFC), initially serving high net-worth clients in Private Banking and transitioning to the Small Business Banking division where he focused on the planning, investment management and borrowing needs of affluent individuals and their businesses.

Bryan began his thirty-year banking career in the Management Training Program at Barnett Bank (now Bank of America, NYSE:BAC) in Orlando, Florida, where he became an Analyst, Bank Manager, Compliance Officer and then a Commercial Banking Officer before returning to his native Atlanta to serve his community. Bryan’s experience building investment business across financial industries and his experience in commercial and retail banking have enabled him to bring a comprehensive approach to capital management. Bryan has a strong commitment to the region where he lives and works, and through lending, investing, advising, and managing relationships, he and the team are able to provide valuable resources to advisors and their clients.

Bryan earned a B.B.A. in Finance from Mercer University and is a CERTIFIED FINANCIAL PLANNER™ professional. In addition to securities examinations, he has previously held Florida and Georgia Real Estate Licenses, and Georgia Insurance Licenses in Life, Variable Life Products, and Accident and Sickness.

E-mail Bryan:

Advisory Services offered through Lindner Capital Advisors, Inc.,
A Registered Investment Advisor.
3350 Riverwood Pkwy. | Suite 2215 | Atlanta, GA 30339 | Phone: (770) 977-7779
This is not an offer of sale of securities. All investing involves risk, and particular investment outcomes are not guaranteed. This website is for informational purposes only and does not constitute an offer to sell, a solicitation to buy, or a recommendation for any security, or an offer to provide advisory or other services by Lindner Capital in any jurisdiction in which such offer, solicitation, purchase or sale would be unlawful under the securities laws of such jurisdiction. The information contained on this website should not be construed as financial or investment advice on any subject matter.

Form ADV Part 2

CRS Relationship Summary