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CYPRESS PLAZA OFFICE BLDG.2200 RODNEY PARHAM ROAD
Suite 300LITTLE ROCK,
Wealth Management Advisor
First Vice President-Wealth Management
Senior Vice President-Wealth Management
Senior Financial Advisor
Reg Senior Client Associate
Kenny Gibbs, CFP®, CIMA®Wealth Management AdvisorA graduate of the University of Arkansas, Kenny joined Merrill Lynch in 1985. Kenny works extensively with corporate executives and successful business owners in tax and estate planning services.Bobby Thomas, CFP®, CIMA®Wealth Management AdvisorA graduate of the University of Central Arkansas Honors College, Bobby joined Merrill Lynch in 1995. His primary areas of emphasis are philanthropic financial services and investment management.Michael Marquez, CFP®Senior Financial AdvisorA graduate of Ouachita Baptist University, Mike originally joined Merrill Lynch in 1999. He focuses on goals-based wealth planning, portfolio construction, and liability management.
Laura BuchananRegistered Senior Client AssociateLaura joined Merrill Lynch in 1991, after having worked in the financial services industry since 1985. Laura handles account administration and client correspondence.Andrea DockeryRegistered Senior Client AssociateA graduate of Ouachita Baptist University, Andrea joined Merrill Lynch in 2007. Andrea focuses on client relationships, and supports all phases of client service. Jayna PetersonClient AssociateA graduate of Hendrix College, and Jayna joined Merrill Lynch in 2014. Jayna focuses on account maintanence and client service.Abby MorganClient AssociateA graduate of the University of Central Arkansas, Abby joined Merrill Lynch in 2014. She focuses on client relationships, events, and communication.Neither Merrill Lynch nor its Financial Advisors provide tax, accounting or legal advice. Clients should review any planned financial transactions or arrangements that may have tax, accounting or legal implications with their personal professional advisors.Certified Financial Planner Board of Standards, Inc. owns the certification marks CFP®, CERTIFIED FINANCIAL PLANNER™ and CFP® in the U.S., which it awards to individuals who successfully complete a CFP Board’s initial and ongoing certification requirements. Investment Management Consultants Association (IMCA®) is the owner of the certification marks CIMA® and Certified Investment Management Analyst®. Use of CIMA® and Certified Investment Management Analyst® signifies that the user has successfully completed IMCA’s initial and ongoing credentialing requirements for investment management consultants.
James Gibbs is registered to do business in : AL, AR, AZ, CA, CO, FL, GA, HI, IA, ID, IL, KY, LA, MA, MD, MI, MO, MS, MT, NC, NH, NM, NY, OH, OK, OR, PA, SC, TN, TX, UT, VA, WA, WI, WV
Kenny Gibbs is registered to do business in : AL, AR, AZ, CA, CO, FL, GA, HI, IA, ID, IL, KY, LA, MA, MD, MI, MO, MS, MT, NC, NH, NM, NY, OH, OK, OR, PA, SC, TN, TX, UT, VA, WA, WI, WV
Michael Marquez is registered to do business in : AL, AR, AZ, CA, CO, FL, GA, HI, IA, ID, IL, KS, KY, LA, MA, MD, MI, MO, MS, MT, NC, NH, NJ, NM, NY, OH, OK, OR, PA, SC, TN, TX, UT, VA, WA, WI, WV, WY
Privacy & Security
Investing in securities involves risks, and there is always the potential of losing money when you invest in securities.
Neither Merrill Lynch nor any of its affiliates or financial advisors provide legal, tax or accounting advice. You should consult your legal and/or tax advisors before making any financial decisions.
Asset allocation, diversification and rebalancing do not ensure a profit or protect against loss in declining markets.
Investment products, insurance and annuity products:
Merrill Lynch makes available products and services offered by Merrill Lynch, Pierce, Fenner & Smith, Incorporated (MLPF&S), a registered broker-dealer and Member Securities Investor Protection Corporation (SIPC), and other subsidiaries of Bank of America Corporation. Insurance and annuity products are offered through Merrill Lynch Life Agency Inc., a licensed insurance agency and wholly owned subsidiary of Bank of America Corporation.
Trust and fiduciary services are provided by U.S. Trust, a division of Bank of America, N.A., Member FDIC, or U.S. Trust Company of Delaware. Both are wholly owned subsidiaries of Bank of America Corporation.
Banking products are provided by Bank of America, N.A. and affiliated banks, Members FDIC and wholly owned subsidiaries of Bank of America Corporation.
MLPF&S and U.S. Trust make available investment products sponsored, managed, distributed or provided by companies that are affiliates of Bank of America Corporation or in which Bank of America Corporation has a substantial economic interest.