Jonathan Freeman, CFP®, CIMA®, CFA

From serving lunches for a local charity to hitting the links with a client, Jonathan Freeman, CFP®, CFA, CIMA®, has always been drawn to people. Quick with a quip or a word of encouragement, Jonathan effortlessly forges connections with those he encounters, and this quality has served him well as a Financial Advisor. Clients sense he genuinely cares about their future, and that concern is reflected in the ideals and values of Stonebridge Financial Group.

Jonathan and partner Brian McCarver formed Stonebridge, originally known as McCarver Freeman Wealth Management, in 2009, seven years after they began working together at The Rohrbaugh Group. Jonathan and Brian push their team to offer the highest degree of client service while demonstrating integrity and professionalism.

As one of the managing directors of Stonebridge Financial Group, Jonathan helps individuals, families, corporations and nonprofits achieve their financial goals through disciplined investment strategies that emphasize risk-adjusted returns and cost and tax efficiency. He works closely with clients to articulate their aims and implement plans to fulfill the objectives formulated by Stonebridge’s investment strategies committee.

Jonathan entered the financial services industry after graduating from Bucknell University in 1996, working in operations and on the trading desk with Fidelity Investments in Boston. He later served as a trader at Gary Goldberg & Company and a Technical Analyst at Prudential Investments. In January of 2002, he joined The Rohrbaugh Group at Prudential Securities, which later became Wachovia Securities and then Wells Fargo Advisors.

Get Expert Financial Guidance Now.

Ready to take control of your financial future? Contact Stonebridge Financial Group today for a personalized consultation. Let us help you navigate complex financial decisions and build a secure path to your goals.

Disclosure

This site is for informational purposes only and is not intended to be a solicitation or offering of any security and; 1. Representatives of a broker-dealer (“BD”) or investment advisor (“IA”) may only conduct business in a state in the representatives and the BD or IA they represent (a) satisfy the qualification requirements of, and are approved to do business by, the state; or (b) are excluded from the state’s licensure requirements. 2. Representatives of a BD or IA are deemed to conduct business in a state to the extent that they provide individualized responses to invest inquiries that involve (a) effecting, or attempting to effect, transactions in securities,; or (b) rendering personalized investments advisor for compensation. The content is developed from sources believed to be providing accurate information. The information in this material is not intended as tax or legal advice. Please consult legal or tax professionals for specific information regarding your individual situation.

HR & Payroll

 By clicking this link you are leaving our website stonebridgefg.com, and entering into a separate website owned and controlled by a subsidiary of Stonebridge Financial Group. HR & Payroll services are provided by Stonebridge HR Solutions LLC. This link is being provided strictly as a courtesy.

Where to?

Term Life Insurance

MEdicare & Beyond

By clicking this link you are leaving our website and entering into a website owned and controlled by an unaffiliated third party. Stonebridge Financial Group does not monitor, endorse or accept responsibility for the content of the third party’s website. These links are being provided strictly as a courtesy. Because the content of websites changes frequently, Stonebridge Financial Group makes no representation as to the completeness or accuracy of information provided. Stonebridge Financial Group is not responsible for any technical or system issues, or any consequences arising out of your access to, or your use of, third-party technologies, sites, information or programs made available through another site.