EDWARD JONES
St. Louis, Missouri
3.4
35 Reviews
Edward Jones, a national investment advisory firm headquartered in St. Louis, MO, is renowned for its extensive network of 14,976 offices. With 28607 dedicated employees, including 19,677 professionals providing investment advisory services, the company has established a solid presence in the financial industry. Edward Jones manages a substantial $593,126,817,000 in assets under management, with an average of $47,780,000 per investment advisor, which aligns with industry standards. The firm's compensation structure is diverse, offering various methods such as a percentage of assets under management, fixed fees, hourly charges, an...
See more
Loading...

Assets Under Mgmt

$593.13B

Investment Professionals

19677

Locations

14975

% 401K & Individual

60%

% Discretionary

43%
Compensation Structure
A percentage of assets under your management
Other
Services Provided Section
Portfolio management for individuals and/or small businesses
Portfolio management for businesses or institutional clients
Pension consulting services
Selection of other advisers
Other Business Activities
Broker-dealer (Registered or unregistered)
Insurance broker or agent
Disclosures
Do any of the events below involve you or any of your supervised persons?
Convicted or guilty of a felony (10 yrs)
Charged with a felony (10 yrs)
Convicted or pled guilty to misdemeanor involving investments (10 yrs)
Convicted or pled guilty to misdemeanor involving investments (10 yrs)
SEC or CFTC found with a false statement or omission
SEC or CFTC violation of regulation or statutes
SEC or CFTC entered an order against you in connection to investment related activities
SEC or CFTC imposed civil money penalty or cease and desist from an activity
Found to have made false statement, ommision, unfair or Unethical by federal regulatory agency
Found to have been involved in a violation of investment regulations or statutes by Federal regulatory agency
Orders brought against in connection to investment related activities (10yrs)
Had investment related business activity restricted by federal regulatory agency
Found to have been involved in a violation of self-regulatory organizations rules
Disciplined by self-regulatory organization or commodities exchange
Attorney, accountant, or federal contractor privileges been revoked or suspended
Currently the subject of any regulatory proceeedings previously talked about
This information was provided by Mployer and is based on publicly available information made available by employers, brokers and carriers. While efforts are made to validate and confirm the information, there could be inaccuracies. All information and ratings are based on Mployer’s opinion only and should be one of many factors used when evaluating brokers. If there are any inaccuracies in the information, please reach out to Mployer using the contact us form and we will review your submission and make changes as we deem appropriate.