ER
ChFC

Ezra Hoyt Ripple

52 Years of Experience

Firm Information

Compensation
Fee-Only (AUM)Fixed/Hourly
Number of Advisors
25 advisors
Number of Clients
422 clients
Average Client Portfolio
$3.3M average
Assets Under Management
$1.4B

Fee Structure

Minimum Investment:$250K
Financial Planning:Included in AUM fee
Financial Plan Fee:$650 - $2,500
Hourly Rate:$150 - $350/hr

Investment management fees are typically paid quarterly and generally do not exceed 2% of assets under management. Financial planning fees are either hourly ($150-$350) or fixed ($650-$2,500), depending on the scope and complexity. These fees may be adjusted based on the client's situation. A minimum total investment amount of $250,000 is generally required, but a lesser amount will be considered.

Areas of Practice
Investment ManagementRetirement PlanningEstate PlanningFinancial Planning & CoachingTax PlanningEducation PlanningInsurance PlanningDivorce PlanningReal Estate Investing
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Advisor Information

Office location

29 South Main Street, Suite 311, West Hartford, CT, 06107

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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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Other Business ActivitiesSells Insurance

Ezra is a senior advisor selling life insurance and related products since 2000, dedicating about half of his time to this activity. He also serves as a corporator for the American School for the Deaf, a trustee for family members, and a trustee for two other trusts.

Employment History
Current Registrations
Lri Investments
April 2024 - Present · 1 yr 9 mos
M Holdings Securities, INC. Broker
August 2000 - Present · 25 yrs 5 mos
Previous Registrations
M Holdings Securities, INC.
October 2007 - April 2024 · 16 yrs 6 mos
Raymond James Financial Services, INC.Broker
August 1993 - August 2000 · 7 yrs
Investment Management & Research, INCBroker
October 1989 - September 1991 · 1 yr 11 mos
Cigna Securities, INC.Broker
December 1971 - October 1989 · 17 yrs 10 mos
State Registrations3 states
CTFLNC
AdvisorBrokerBoth
Exams
No exam information available for this advisor.