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Garrett Q. Bland
Sherry A. Zambrano

Maria I. Hernandez

Client Associate

Maria is a Client Associate with J.P. Morgan Securities, the wealth management division of J.P. Morgan. As the team’s primary interface for clients, Maria is responsible for a number of important functions.  These include assisting with processing client requests, executing trades, performing fixed-income and retirement plan analytics, creating asset allocation reports and preparing presentations and year-end reviews. 

Maria also assists with a variety of corporate services issues, such as stock option plan administration, restricted securities transactions, 10b5-1 selling plans, concentrated positions and securities lending.

Prior to joining J.P. Morgan’s predecessor firm, Bear Stearns, in 1995, Maria managed a number of executive travel functions at Hilltop Aviation (1991-1995).

Maria lives in Los Angeles with her three children, and enjoys bicycling, camping and gardening. She also volunteers at her children’s schools, and helps organize her daughter’s music academy concerts.

 

Phone: 310.201.2731
Email: maria.i.hernandez@jpmorgan.com

Registered States:  AL, AK, AZ, AR, CA, CO, CT, DE, DC, FL, GA, HI, ID, IL, IN, IA, KS, KY, LA, ME, MD, MA, MI, MN, MS, MO, MT, NE, NV, NH, NJ, NM, NY, NC, ND, OH, OK, OR, PA, PR, RI, SC, SD, TN, TX, UT, VT, VI, VA, WA, WV, WI, WY 

Learn more about our firm and investment professionals through FINRA BrokerCheck.

The views and strategies described may not be suitable for all investors. This material has been prepared for informational purposes only, and is not intended to provide, and should not be relied on for tax, legal or accounting advice. You should consult your own tax, legal and accounting advisors before engaging in any transaction. Securities are offered by J.P. Morgan Securities LLC. ("JPMS"), member FINRA and SIPC. When JPMS acts as a broker-dealer, a client's relationship with us and our duties to the client will be different in some important ways than a client's relationship with us and our duties to the client when we are acting as an investment advisor. A client should carefully read the agreements and disclosures received (including our Form ADV disclosure brochure, if and when applicable) in connection with our provision of services for important information about the capacity in which we will be acting.

This document provides information about the brokerage and investment advisory services provided by J.P. Morgan Securities LLC ("JPMS"). The agreements entered into by and disclosures provided to clients with respect to the different products and services provided by JPMS should be carefully read (including our Form ADV disclosure brochure, if and when applicable), which contain important information, including our provision of services for important information about the capacity in which we will be acting. We encourage clients to speak to their JPMS representative regarding the nature of the products and services and to ask any questions they may have about the difference between brokerage and investment advisory services, including the obligation to disclose conflicts of interests and to act in the best interests of our clients.

“J.P. Morgan Securities” is a marketing name for a wealth management business conducted by JPMorgan Chase & Co. and certain subsidiaries. J.P. Morgan Securities offers investment products and services through J.P. Morgan Securities, LLC, and Clearing and Custody by J.P. Morgan Clearing Corp., both are members of FINRA and SIPC. Bank products and services are offered by JPMorgan Chase Bank, N.A. and its bank affiliates.

Investment products: Not FDIC insured • No bank guarantee • May lose value

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