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Oklahoma’s Independent Fiduciary. Built for the Way You Actually Live.

Winston Solidus Wealth is a registered investment adviser founded in Oklahoma City with one purpose: to deliver honest, personalized, fiduciary-quality investment management to the people and businesses that make this state run. We’re not a big bank. We’re not a robo-app. We’re a local, independent RIA that puts your goals first — legally, ethically, and without exception.

Whether you’re a family building long-term wealth, a young professional navigating your first serious portfolio, a retiree protecting what you’ve built, or a business owner with idle cash looking for smarter options — this firm was built for you. Modern strategies. Zero panic. Always fiduciary.

Team Huddle

Our Mission

We help our clients identify their financial needs, build strategies to meet them, and stay the course without fear or confusion.

Our mission is simple: bring fiduciary-grade, personalized investment management to Oklahoma families, professionals, and businesses — including prudent, regulated access to modern digital assets — so every client can grow their wealth confidently and sustainably, regardless of what the market is doing.

Our Values.

Every decision we make — from how we build your portfolio to how we return your calls — comes back to these principles.

Fiduciary First

We are legally and ethically required to put your interests ahead of our own. No commissions. No conflicts. No exceptions. That’s not a marketing line — it’s the legal standard we operate under, every single day.

Prudent Innovation

We believe in modern portfolios — including regulated digital asset exposure through custodian-held ETFs — but we never chase hype. Every allocation is deliberate, limited, and grounded in your personal risk tolerance and goals.

Integrity in Everything

Transparent fees. Honest disclosures. Straightforward communication. You’ll always know what we’re doing with your money, why we’re doing it, and what it costs.

Client-Centered Excellence

Your financial life is personal. We treat it that way. From the first suitability review to your quarterly account check-in, every interaction is tailored to you — not a template, not a product menu.

Meet the Team.

Wesley Cox

Principal & Chief Compliance Officer

Wesley Cox is the founder, principal, and Chief Compliance Officer of Winston Solidus Wealth, LLC, an Oklahoma-registered investment adviser providing prudent, fiduciary-driven portfolio management for local families, professionals, and businesses. He established the Firm in 2026 to deliver modern portfolios that integrate crypto ETF exposure through regulated, custodian-held funds alongside traditional diversified holdings. Previously, he served for over a decade as VP of Finance, Marketing & IT at Friendly Market, where he led budgeting, forecasting, internal controls, and compliance in a regulated retail environment. He passed the Series 65 Uniform Investment Adviser Law Examination in March 2026 and holds a BBA in Marketing & MIS from the University of Oklahoma’s Price College of Business, with additional Juris Doctor coursework at the University of Tulsa College of Law focused on business, regulatory, and fiduciary concepts. His combination of operational finance discipline, regulatory experience, and client-centered focus shapes the Firm’s commitment to prudent, transparent, and personalized advisory services.

Riley Mulinix, Esq

Advisory Board Member

Riley Mulinix is an Oklahoma City attorney whose practice spans business litigation, business formation and transactions, and estate planning. He is currently an attorney at Mulinix Ewert, PLLC, where he represents individuals, families, and businesses across a wide range of complex legal matters. Previously, he founded Clean Slate Lawyers, a firm focused on expungement and rehabilitation work. He has been admitted to practice in Oklahoma since 2011 and has been recognized multiple times as an Oklahoma Rising Star by Super Lawyers. He holds a BA and JD from the University of Oklahoma. His combination of business law, estate planning, and litigation experience strengthens the Firm’s perspective on legal compliance, governance, and the kind of disciplined fiduciary practice clients depend on.

Justin Chapman

Advisory Board Member

Justin Chapman is a finance and accounting executive with 20+ years of experience across FP&A, financial reporting, M&A, operational finance, and enterprise systems. He currently leads business development, helping private and public companies onboard executive-level contract talent across finance, accounting, and tax functions. His background includes leadership in budgeting, forecasting, consolidations, financial modeling, and SEC reporting. He has been actively involved in the digital asset and blockchain space since 2019, with a focus on decentralized finance, Web3 infrastructure, and validator operations. He holds a BBA in Finance & MIS from the University of Oklahoma and a Master of Accounting from Texas Christian University. His combined expertise in financial discipline and digital asset markets strengthens the Firm’s perspective on prudent crypto ETF allocation, business treasury services, and the financial controls clients expect from a modern fiduciary.

Bryan Jensen, Esq.

Advisory Board Member

Bryan Jensen is a Technology Executive and Advisor whose career spans intelligence, advanced technology, law, and global enterprise operations. He is currently Advisor and fractional CTO of Tessera Defense. Previously, he held executive leadership roles across the CIA and Microsoft. He has been a licensed attorney for 21+ years and held various Board positions. He holds a BA, MS and JD from the University of Tulsa. His combination of technology leadership, legal training, and enterprise governance experience strengthens the Firm’s perspective on cybersecurity, regulatory discipline, and the long-term oversight infrastructure clients rely on.

Members of the Advisory Board provide periodic, non-binding business consultation to Firm leadership. They have no management authority, no decision-making power over Firm operations or investments, and no ability to bind the Firm. Advisory Board service does not constitute investment advice to clients of the Firm.

Get a personal consultation.

We will take care of your managing your financial portfolio with professional & fiduciary care.