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Camarda Wealth Advisory Group

4371 US Hwy 17, Suite 201

location Fleming Island, FL 32003

call904-278-1177

"Total Wealth Care" - Wealth Done Right®

About Camarda Wealth Advisory Group

Camarda Wealth is a strictly fee-only fiduciary investment and wealth management firm. We do not accept commissions for any services, ensuring our sole commitment is to our clients' best interests. We call this Wealth Done Right® - and we believe in it so deeply, we trademarked it.

Key Highlights:
1. Real Fiduciary: Legally bound to put your interests first. We accept no compensation besides fully disclosed fees.
2. Credentialed & Experienced Advisory Team: Includes PhDs, CFA®, and IRS-admitted tax professionals
3. Total Wealth Care: Fully integrated wealth management services include:

  • Investment management / Portfolio Management with Proactive Adjustments
  • Estate and trust planning
  • Asset protection and retirement income strategies
  • Tax planning and reduction
  • Financial planning and insurance advisory
  • Business and real estate consulting
  • Clients also benefit from coordinated tax and legal services through our wholly owned affiliate, TaxMaster.

    4. Proactive Portfolio Management: We don't just "buy and hold" - We actively monitor markets and adjust when needed aiming to grow AND protect wealth, especially critical near or during retirement.
    5. Consistent National Recognition: Repeatedly featured in top financial outlets like The Wall Street Journal, Barron's, Forbes, and Bloomberg - without paying for placement.

    Based in North Florida and nationally serving successful families, individuals, and business owners since 1993, Camarda Wealth could be your all-in-one solution for advanced wealth management. We're dedicated to delivering intelligent, ethical, and comprehensive financial care - done right.

    See Disclosures

  • General Information

    Firm Start Year

    1993

    No. of Employees

    20-49

    automated call

    Yes

    CRD#

    1321857

    Firm CRD#

    113784

    Insurance License#

    A038669 - Florida Fiduciary/No Commissions Licence

    Name of Custodial Firm

    Schwab

    States Licensed in

    National

    Years of Experience in Financial Services

    40

    Number of Years with Current Firm

    32

    Work Experience

    Jeff began his financial career in 1984 as a successful stockbroker in New York and has maintained a spotless compliance record ever since - with no client complaints. His personal journey from modest beginnings to building wealth from scratch shapes his approach to guiding others. This mission led him to pioneer Camarda Wealth Advisory Group in 1993 as fee-only fiduciaries.

    Education & Credentials:

    • PhD and Master's in Financial Planning
    • Master's in Tax Law from Georgetown Law, plus Estate Planning Certification
    • Completed the CFA®, CFP®, ChFC®, CLU®, CFS®, and BCM" programs
    • Admitted IRS Practitioner (EA) with unlimited representation rights and attorney-client privilege in tax matters =¼

    Career Highlights:

    • Over 40 years of experience in investment management, financial planning, and tax strategy
    • Built proprietary systems and leads a hand-trained advisory team
    • Nationally recognized expert in advisor education and financial ethics
    • Zero client complaints throughout his entire professional history

    Work with the following types of clients

    Businesses, Non-Profit Organizations, Individual Investors

    Advisory Services Provided

    Investment Advice & Management, Financial Advice & Consulting, Estate Planning & Trusts, Financial Planning, Portfolio Management, Retirement Planning, 401K Rollovers, Wealth Management, Money Management, Risk Management, Financial Planning for Individuals, Financial Planning for Businesses, Tax Advice and Services, Legal Advice and Services, Education Funding and Planning

    Services

    Investment Types

    Alternative Investments, Stocks, Bonds, We also work with no commission/fiduciary insurance products like annuities where this seems best, Mutual Funds

    Can meet clients in the following ways

    Our Office, Phone, Your Office, Your Home, Video Conference

    Compliance

    Registered Investment Advisor

    Yes

    Investment Advisor Representative

    Yes

    Acknowledged fiduciary

    Yes

    Compliance Disclosures in Last 5 years

    I have a clean record

    Criminal Disclosures in Last 5 years

    I have a clean record

    Qualifications & Membership

    Certifications, Accreditations & Designations

    CFA®, EA

    Securities Licenses

    Series 65

    Firm Information

    Firm's Number of Clients

    about 500

    Firm's Number of Planning Clients

    about 500

    Firm's Number of Managed Clients

    about 500

    Assets Managed by Firm

    $350,000,000

    Advisor's Number of Clients

    about 500

    Assets Managed by Advisor

    $340,000,000

    Compensation and Fees

    Fee Structure

    Fee-Only

    Minimum Portfolio Size for New Managed Accounts

    Typical accounts $1M+

    Compensation Methods

    Based on Assets

    Fee % Based on Assets

    ~1.5%

    Additional Details on Charges

    Fee percentage varies based on relationship size. 1.5% applies to accounts between 1-10M. Typical new accounts are $1M+. Lower fees are applicable to clients who do not wish Full Service Financial Planning. Please see ADV and CRS documents for extensive detail.

    Education

    Master of Science Financial Planning - Financial Planning

    American College of Financial Services
    2013 -2014

    PhD Financial & Retirment Planning - Financial & Retirment Planning

    American College of Financial Services
    2014 -10/02/2030

    Master of Tax Law - Tax Law

    Georgetown University Law School
    2021 -2023

    Law School Certified In Estate Planning - Estate Planning & Estate Tax

    Georgetown University Law School
    2021 -2023

    Disclosures

    FinancialAdvisor.net provides referrals to financial professionals. FinancialAdvisor.net is not a current client of advisor or advisory services. Financial professionals pay cash compensation for these referrals, which creates the incentive for FinancialAdvisor.net to make these referrals, resulting in a conflict of interest.

    Additional Detailed Disclosures
    https://www.financialadvisor.net/disclosure/1891935/financialadvisor-Camarda-Wealth-Advisory-Group-detailed-disclosure.html