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Cameron Scott Murphy

MURPHY CAPITAL MANAGEMENT INC·GLADSTONE, New Jersey
Series 7, Series 63, Series 65Clean record11 years registeredMURPHY CAPITAL MANAGEMENT INC
268 MAIN STREET, GLADSTONE, NJ 07934CRD# 3089556Firm CRD# 105155

Profile Verification

Sourced · FINRA · SEC · CFP Board · Self-disclosed
Identity
Cameron Scott Murphy · GLADSTONE, NJ
Registration
CRD #3089556 · MURPHY CAPITAL MANAGEMENT INC · 11 years registered
Brand Profile
Not yet started
01

Career History

No current investment adviser registration
Last registered firm: MURPHY CAPITAL MANAGEMENT INC
Oct 2014Jun 2020
GLADSTONE, NJ
02

Registrations & Exams

FINRA examinations passed
Series 7
Series 63
Series 65
Registration record
First registered · October 10, 2014
Years registered · 11
03

Disclosure History

Clean record · no disclosure events on file

Source: SEC IAPD. Verify on FINRA BrokerCheck →

04

Firm Overview

Firm
MURPHY CAPITAL MANAGEMENT INC
CRD 105155 · SEC 801-20376
AUM
$1.2B
Regulatory assets under management
Employees
6
1,340 client accounts
Services offered by MURPHY CAPITAL MANAGEMENT INC
Per Form ADV
Portfolio management (individuals)
Selection of other advisers
Client types served by the firm
Per Form ADV
Individuals
Introduction

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05

Frequently Asked Questions

What services does Cameron Scott Murphy offer?
Cameron Scott Murphy specializes in Investment Management, Wealth Management, Fee-Only Advisory.
What are Cameron Scott Murphy's credentials?
Cameron Scott Murphy is a registered investment adviser representative. Check their firm's Form ADV filing for detailed qualification information.
Where is Cameron Scott Murphy located?
Cameron Scott Murphy is based in GLADSTONE, New Jersey, last registered with MURPHY CAPITAL MANAGEMENT INC.
How does Cameron Scott Murphy charge for services?
Cameron Scott Murphy'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 MURPHY CAPITAL MANAGEMENT INC?
MURPHY CAPITAL MANAGEMENT INC has approximately 6 employees and manages $1.2B in regulatory assets under management. The firm is registered with the SEC as an investment adviser.
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