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G. Martin Meyers, P.C.

Updated today

Client assets under management

$0

Clients

0

Advisors

2

of 2 employees

Firm type

Investment Manager

May not manage individual clients

Clients per advisor

0

Average account size

About

G. Martin Meyers, P.C. provides advisory services to pooled-investment vehicles and other institutional clients, focusing on manager selection, pre-investment reviews, and oversight rather than traditional retail wealth management. The firm also has a history of pursuing securities-fraud recoveries on behalf of harmed investors, and frames its advisory work around preventing those types of losses.

The firm’s approach emphasizes loss avoidance and suitability through careful vetting of investment managers and financial planners, using pre-commitment reviews of proposed investments where appropriate. It typically operates by recommending and coordinating with other licensed advisers and by leveraging the founder’s long experience in securities-fraud matters to assess adviser integrity and competence.

What is distinctive is that the adviser is structured as an attorney-led firm—its founder is a practicing securities-fraud attorney with a finance background—so legal experience informs its advisory work and due diligence. The brochure also discloses that, in many cases, the firm receives compensation from the licensed advisers it recommends (with advance disclosure), reflecting its role as a selector of other advisers rather than a conventional asset-based manager.

Client services

Selection of other advisers

Expertise

Wealth management

Occupation focus

Attorney

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Fee options

Commissions

Compensation is typically received from the licensed advisors recommended, rather than charged directly to clients.

Main office location

G. Martin Meyers, P.C.

35 W. Main Street,, Suite #106

Denville NJ 07834, United States

Number of offices

0

Most active in

New Jersey

Disclosures

Exclamation point means they have disclosures of this type. Check mark means no disclosures of this type were found.

Business activities & affiliations

Advisors at this firm

user avatar

Gary M

Series 63, Series 65

Denville, NJ

G. Martin Meyers, P.C.

Gary Meyers is the principal and sole advisor at G. Martin Meyers, P.C., holding Series 63 and Series 65 licenses with nine years of industry experience. He has been president of the Law Offices of G. Martin Meyers, P.C., a civil litigation practice, since 1972. G. Martin Meyers, P.C. provides advisory services primarily to pooled-investment vehicles and institutional clients, focusing on manager selection, pre-investment reviews, and oversight. The firm combines legal expertise in securities-fraud matters with investment due diligence to emphasize loss avoidance and adviser suitability.

Wealth management Attorney
user avatar

Justin M

Series 63, Series 65

Denville, NJ

G. Martin Meyers, P.C.

Justin Meyers is a financial advisor at G. Martin Meyers, P.C. with six years of industry experience. He holds Series 63 and Series 65 licenses and has been associated with the Law Offices of G. Martin Meyers, PC since 2016. Outside of his advisory role, he is the managing member of Aramas Group LLC, a real estate brokerage and commodities trading advisory firm. G. Martin Meyers, P.C. provides advisory services primarily to pooled-investment vehicles and institutional clients, focusing on manager selection, pre-investment reviews, and oversight. The firm emphasizes loss avoidance and suitability by vetting investment managers and financial planners, often working alongside other licensed advisers and leveraging legal expertise in securities-fraud matters.

Wealth management Attorney
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