Skip to main content

Free Consultation:

(800) 382-7969

Madison Avenue Securities Investment Lawyer

Madison Avenue Securities is a boutique independent broker-dealer and registered investment adviser (RIA) based in San Diego, California. Known for its client-first approach and commitment to personalized financial solutions, Madison Avenue has become a trusted name among financial professionals and their clients. This blog explores the history of the firm, its regulatory profile, and key business metrics to provide a detailed understanding of its operations.

History of Madison Avenue Securities

Founded in 2005, Madison Avenue Securities was established with the goal of providing financial advisors with a flexible and supportive platform to deliver tailored financial strategies. Over the years, the firm has built a reputation for its advisor-centric culture and dedication to client success. Madison Avenue’s focus on personalized service and innovative solutions has positioned it as a trusted partner in the financial services industry.

Key Business Metrics

CRD Number

Madison Avenue Securities is registered under CRD number 126590. This identifier is used by regulatory bodies to monitor the firm’s compliance and registration status.

Number of Regulatory Events

According to BrokerCheck and the firm’s CRD record, Madison Avenue Securities has been involved in fewer than 10 regulatory events. These events primarily involve compliance and supervisory matters, which are common in the financial services industry. The firm has proactively addressed these issues and worked to enhance its compliance practices.

Number of Employees

Madison Avenue Securities employs approximately 50 professionals at its headquarters and regional offices. These employees provide essential services, including compliance support, operational assistance, and technological resources, ensuring the success of its network of financial advisors.

Assets Under Management (AUM)

Madison Avenue Securities oversees approximately $4 billion in assets under management (AUM) as of 2023. This figure highlights the firm’s ability to attract and retain high-performing financial advisors and their clients.

Revenue

Madison Avenue Securities generates approximately $30 million in annual revenue. This revenue is derived from a range of services, including brokerage, advisory platforms, and alternative investment opportunities.

Regulatory and Compliance Landscape Madison Avenue Securities

As a regulated broker-dealer and RIA, Madison Avenue Securities operates under the oversight of the Financial Industry Regulatory Authority (FINRA) and the Securities and Exchange Commission (SEC). The firm’s proactive approach to compliance reflects its commitment to maintaining high ethical standards and protecting client interests.

Notable Regulatory Issues

Madison Avenue Securities has faced a small number of regulatory actions, primarily related to compliance and supervisory processes. These issues emphasize the importance of strong oversight in the financial industry. The firm’s efforts to resolve these matters demonstrate its dedication to meeting regulatory standards and ensuring transparency.

Customer Complaints

Customer complaints against Madison Avenue Securities are rare and are managed through established resolution processes. The firm’s emphasis on transparency and advisor education helps minimize disputes and build trust among clients.

Commitment to Advisor Support

Madison Avenue Securities is known for its advisor-focused model, offering a wide array of resources to help financial professionals grow and manage their practices effectively. The firm provides advanced technology platforms, marketing support, and comprehensive compliance assistance, enabling advisors to deliver customized financial solutions to their clients.

In addition to operational support, Madison Avenue places a strong emphasis on professional development. The firm offers training programs and networking opportunities to help advisors stay ahead of industry trends and provide exceptional service to their clients.

Customer Experience and Reputation

Madison Avenue Securities has earned a positive reputation among both advisors and clients. Advisors frequently highlight the firm’s flexibility, supportive culture, and personalized service as key advantages. Clients benefit from the tailored financial strategies and expert guidance provided by Madison Avenue’s experienced advisors.

Looking Ahead

Madison Avenue Securities continues to adapt to the evolving needs of the financial services industry. The firm’s focus on innovation, compliance, and advisor support positions it for sustained growth. As the demand for personalized financial solutions increases, Madison Avenue remains well-equipped to meet the challenges of a dynamic financial landscape.

Final Thoughts

Madison Avenue Securities stands out as a premier independent broker-dealer and RIA, offering a supportive platform for financial professionals and clients seeking tailored financial solutions. With its strong regulatory framework, significant assets under management, and advisor-centric approach, Madison Avenue provides a compelling option for those seeking a trusted partner in the financial services industry.

Whether you are a financial advisor looking for a collaborative platform or an investor seeking expert financial guidance, Madison Avenue Securities offers the expertise and resources to help you achieve your goals. For more information, explore the firm’s services and discover how they align with your financial objectives contact Bakhtiari & Harrison.