SD
CFP
SD
CFP

Seth Dubrow

26 Years of Experience
New York, NY
Broker

Seth Dubrow is a CFP-designated registered investment advisor at J.P. Morgan Securities LLC, based in New York, NY, with 26 years of industry experience. Seth operates on a fee-only basis, meaning they do not earn commissions from product sales. Their practice areas include Financial Planning & Coaching, Investment Management. Their firm serves 1,055,400 clients with $350B in assets under management.

Compensation
Fee-Only (% of Portfolio)
Firm Size
13547 advisors
Number of Clients
1,055,400 clients
Average Client Portfolio
$334K average
Assets Under Management
$352.6B

Fee Structure

Minimum Investment:$50K
Investment management only (planning not offered)
Portfolio-Based Fees (Tiered)
Portfolio ValueAnnual Fee
Up to $250K1.45%
$250K - $500K1.30%
$500K - $1000K1.15%
$1.0M - $2.0M1.00%
$2.0M - $5.0M0.75%
$5.0M - $10.0M0.65%
$10.0M - $15.0M0.55%
$15.0M - $25.0M0.50%
$25.0M - $50.0M0.40%
$50M+0.30%

The Advisory Fee rate for assets invested in the Fixed Income Advisory Program (FIAP) is 0.70%. The Advisory Fee rate for assets invested in the Liquidity Management Strategy (LMS) is 0.40%. Effective November 10, 2025 the Advisory Fee rate for new LMS investors and LMS proposals dated on or after November 10, 2025 will be 0.60%.

Fee Estimator
Your Portfolio Value
$500K
$0$500K$1M$5M$20M
Estimated Annual Fee
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Location

10 Columbus Circle, New York, NY, 10019

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History

Regulatory History
Clean regulatory record

No disclosures, customer disputes, or regulatory actions on file.

Disclosures include customer complaints, regulatory actions, and other events that advisors must report to the SEC. A clean record means none have been reported.

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Employment History
Current Registrations
J.P. Morgan Securities LLCBroker
October 2012 - Present · 13 yrs 11 mos
J.P. Morgan Securities LLC
October 2012 - Present · 13 yrs 11 mos
Previous Registrations
Chase Investment Services CORP.Broker
July 2006 - October 2012 · 6 yrs 3 mos
Chase Investment Services CORP.
July 2006 - October 2012 · 6 yrs 3 mos
North Fork Financial Advisors LLC
April 2005 - July 2006 · 1 yr 3 mos
Nfb Investment Services CORP.Broker
April 2005 - July 2006 · 1 yr 3 mos
Wm Financial Services, INC.
August 2004 - April 2005 · 8 mos
Wm Financial Services, INC.Broker
August 2004 - April 2005 · 8 mos
Quick & Reilly, INC.
November 2002 - August 2004 · 1 yr 9 mos
Quick & Reilly, INC.Broker
January 2002 - August 2004 · 2 yrs 7 mos
Citicorp Investment ServicesBroker
February 2000 - February 2002 · 2 yrs
Prime Charter LTD.Broker
July 1999 - February 2000 · 7 mos
State Registrations53 states
AKALARAZCACOCTDCDEFLGAHIIAIDILINKSKYLAMAMDMEMIMNMOMSMTNCNDNENHNJNMNVNYOHOKORPAPRRISCSDTNTXUTVAVTVirgin IslandsWAWIWVWY
AdvisorBrokerBoth

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Exams
No exam information available for this advisor.