J. Camarda
Credentials: CFA®, ChFC®, CFP®
4371 US Highway 17
Suite 201
Fleming Island, Florida, 32003
Suite 201
Fleming Island, Florida, 32003
Telephone:
904.278.1177
Registry Member Since 2009
Business Philosophy
Did Not Provide
1. What is your type of RIA registration?
- SEC
2. Are you a sole practitioner or a member of a firm or team?
- Sole Practitioner
3. What is your relationship to your Registered Investment Advisor?
- Independent Contractor
4. What are your years of applicable financial service experience?
- 27 Years
5. Do you have any college degree(s)?
School
Degree
Major
SUNY/BA
Bachelor of Science
6. Do you belong to any industry associations?
- No
7. What is your CRD or IARD number?
- 1321857
8. Do you hold any active securities licenses?
- 65
9. Which categories of financial services do you provide?
- Investment Advice & Services
- Tax Advice & Services
10. Which planning services do you provide?
- Other
11. Which investment advisory services do you provide?
- Investment Strategy & Policy
- Risk Management
- Rebalancing
- Money Manager Selection
- Asset Allocation
- Performance Reports
12. If you make investment decisions for clients, how do you invest their assets?
- Did Not Provide
13. How many clients (not accounts) do you currently service?
- Did Not Provide
14. What amount of client assets is currently under your management or advisement?
- Did Not Provide
15. What is your minimum fee for your planning services?
- Did Not Provide
16. What is your minimum fee for your investment services?
- Did Not Provide
17. What is your minimum asset requirement for your investment services?
- $250,000
18. What is your minimum net worth requirement for your planning services?
- Did Not Provide
19. What type of compensation do you receive for your planning services?
- Hourly Fees
20. What type of compensation do you receive for your investment advisory services?
- Asset Based Fees
21. Do you work with remote clients over the Internet and telephone?
- Yes
22. Do you hold any active insurance licenses?
- Life, Annuity, Health
23. Are you a Registered Investment Advisor or an Investment Advisor Representative?
- Yes
24. Do you acknowledge you are a fiduciary when you provide financial advice and services for fees?
- Yes
25. What states are covered by your registration(s) to sell investment advisory services?
- Did Not Provide
26. What states are covered by your registration(s) to sell investment and brokerage products?
- Did Not Provide
27. What states are covered by your registration(s) to sell insurance products?
- Did Not Provide
28. Do you have any compliance disclosures for the past 5 years?
- Investment Disclosures: No
- Insurance Disclosures: No
29. Do you have any criminal disclosures since you became an adult?
- Misdemeanors: No
- Felonies: No
30. How do investors view your ADV Part II?
- Available Upon Request
31. Additional Disclosure Statements or Comments
- I practice full disclosure for credentials, ethics, business practices, compensation, potential conflicts of interests and financial services.
32. What languages do you speak fluently?
- Did Not Provide
33. What is your primary role?
- Did Not Provide
34. Which investment products do you sell?
- Did Not Provide
35. Which insurance products do you sell?
- Did Not Provide
36. Do you provide tax advice and services?
- Yes
37. Do you provide legal advice and services?
- Did Not Provide
38. Do you provide any limited engagement services?
- Did Not Provide
39. What types of clients do you work with?
- Individuals
- Companies (Non-Pension)
40. Where does your first meeting with a prospective client take place?
- Investor's Preference
41. Which companies act as custodians for your clients assets?
- TD Ameritrade
- Schwab
42. What types of reports do you provide your clients and what is the frequency?
43. General Comments:
Did Not Provide
Certification
I certify all of the information in my professional profile is accurate and up-to-date.
Advisor Name:
J. Camarda
Most Recent Update: May 10, 2013
Most Recent Update: May 10, 2013