About Us

About Us

FIDUCIARY COUNSELORS INC. is an investment adviser registered with the Securities and Exchange Commission under the Investment Advisers Act of 1940. The firm primarily acts as an independent fiduciary for employee benefit plans. With our extensive knowledge of the Employee Retirement Income Security Act (“ERISA”) and the associated fiduciary responsibilities established by the Department of Labor along with our expertise and experience in financial and investment matters, Fiduciary Counselors is well qualified to provide employers and those charged with the administration of benefit plans with solutions for a broad range of fiduciary and investment issues.

Ongoing and completed engagements have involved employer securities in 401(k) plans, ESOPs, VEBAs and defined benefit plans.

Please click here for a copy of our Firm Brochure.

    ANNOUNCEMENT

    DECEMBER 1, 2017: Fiduciary Counselors Inc. Names Thomas O’Connor Chief Executive Officer and Laura Rosenberg to Chair Investment Committee. Click here for more.

    ANNOUNCEMENT

    October 2, 2015 – Fiduciary Counselors Serves as Independent Fiduciary for JCPenney Annuity Purchase, click here for more.