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John Morgan Robb

THE STONE CREEK GROUP, LLC·ENGLEWOOD, Colorado
SIE, Series 7, Series 9, Series 10, Series 31, Series 66Clean record24 years registeredTHE STONE CREEK GROUP, LLC
2390 W. DARTMOUTH, ENGLEWOOD, CO 80110CRD# 4403322Firm CRD# 182512

Profile Verification

Sourced · FINRA · SEC · CFP Board · Self-disclosed
Identity
John Morgan Robb · ENGLEWOOD, CO
Registration
CRD #4403322 · THE STONE CREEK GROUP, LLC · 24 years registered
Brand Profile
Not yet started
01

Career History

Oct 2015present
Sep 2001Apr 2015
DENVER, CO
02

Registrations & Exams

FINRA examinations passed
SIE
Series 7
Series 9
Series 10
Series 31
Series 66
Registration record
First registered · September 11, 2001
Years registered · 24
03

Disclosure History

Clean record · no disclosure events on file

Source: SEC IAPD. Verify on FINRA BrokerCheck →

04

Firm Overview

Firm
THE STONE CREEK GROUP, LLC
CRD 182512 · SEC 801-124710
AUM
$155M
Regulatory assets under management
Employees
4
246 client accounts
Services offered by THE STONE CREEK GROUP, LLC
Per Form ADV
Portfolio management (individuals)
Client types served by the firm
Per Form ADV
Individuals
Introduction

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05

Frequently Asked Questions

What services does John Morgan Robb offer?
John Morgan Robb specializes in Investment Management, Fee-Only Advisory. Contact their office in ENGLEWOOD, Colorado for a consultation.
What are John Morgan Robb's credentials?
John Morgan Robb is a registered investment adviser representative. Check their firm's Form ADV filing for detailed qualification information.
Where is John Morgan Robb located?
John Morgan Robb is based in ENGLEWOOD, Colorado, working with THE STONE CREEK GROUP, LLC. Their office serves clients in the ENGLEWOOD metropolitan area and surrounding communities.
How does John Morgan Robb charge for services?
John Morgan Robb's firm is compensated through percentage of aum. Always review the firm's Form ADV Part 2 for complete fee details before engaging an advisor.
How large is THE STONE CREEK GROUP, LLC?
THE STONE CREEK GROUP, LLC has approximately 4 employees and manages $155M in regulatory assets under management. The firm is registered with the SEC as an investment adviser.
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