Best Financial Advisors in JERSEY CITY, New Jersey
Ranked by SEC regulatory data — fees, complaints, and fiduciary status. Updated quarterly.
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Top-Ranked Advisors in JERSEY CITY
ABNER HERRMAN & BROCK, LLC
JERSEY CITY, NJ · Since 1982
REAVES ASSET MANAGEMENT
JERSEY CITY, NJ · Since 1977
DGS CAPITAL MANAGEMENT
JERSEY CITY, NJ · Since 2019
AXQ CAPITAL, LP
JERSEY CITY, NJ · Since 2022
MANTEIO SCALABLE TECHNOLOGIES LLC
JERSEY CITY, NJ · Since 2024
LORD ABBETT CLO MANAGEMENT LP
JERSEY CITY, NJ · Since 2024
LORD, ABBETT & CO. LLC
JERSEY CITY, NJ · Since 1970
COREBRIDGE INSTITUTIONAL INVESTMENTS (U.S.), LLC
JERSEY CITY, NJ · Since 2009
AHARA ADVISORS
JERSEY CITY, NJ · Since 2024
BLUEVINE ADVISORY LLC
JERSEY CITY, NJ · Since 2023
HUDSON EDGE INVESTMENT PARTNERS, INC.
JERSEY CITY, NJ · Since 1983
PIONEER ADVISORY LLC
JERSEY CITY, NJ · Since 2025
LORD ABBETT PRIVATE CREDIT ADVISOR LLC
JERSEY CITY, NJ · Since 2024
HUDSON COVE CAPITAL MANAGEMENT LLC
JERSEY CITY, NJ · Since 2016
MANTEIO CAPITAL LLC
JERSEY CITY, NJ · Since 2021
ASTRA WEALTH PARTNERS
JERSEY CITY, NJ · Since 2022
LORD ABBETT FIF ADVISOR LLC
JERSEY CITY, NJ · Since 2024
AIGA CAPITAL PARTNERS LLC
JERSEY CITY, NJ · Since 2025
SCIENTECH RESEARCH LLC
JERSEY CITY, NJ · Since 2024
TAURUS FINANCIAL
JERSEY CITY, NJ · Since 2026
CIRO CAPITAL LLC
JERSEY CITY, NJ · Since 2026
MANAGED ACCOUNT ADVISORS LLC
JERSEY CITY, NJ · Since 2007
HOXTON WEALTH
JERSEY CITY, NJ · Since 2022
Frequently Asked Questions
How are advisors ranked?
We use a Trust Score (0–100) based on SEC Form ADV disclosures. Firms start at a base and receive points for positive signals (fiduciary status, years established, client base) with deductions for disciplinary events, complaints, and conflicts.
What's the average financial advisor fee in JERSEY CITY?
The median advisory fee in JERSEY CITY, NJ is 0.95% of assets under management per year, based on Form ADV filings from 23 registered firms.
Where does this data come from?
All data is sourced from SEC.gov Form ADV public filings and FINRA BrokerCheck. These are mandatory regulatory disclosures — every registered advisor must file them.