DFX Intelligence
RIA Intelligence
Registered investment advisers, the advisors registered through them, the capital they report, the private vehicles they run and the people who own them, as a graph with a filing date behind every number. RAUM is what the adviser filed, a move is two registration dates, and a class is a rule you can read.
Registered advisor
Richard Joseph Testa
Certified Financial Planner
Feed of 09/14/2026
Also filed as Richard J (Jr) Testa
At current firm
4 y
since Oct 25, 2021
In the industry
27 y
since Feb 10, 1999 (earliest exam, job or registration)
Prior registered firms
2
IAPD previous registrations
State registrations
1
current, as an IAR
Firms today
1
current registrations
Exams
S66, S65
IA exams only
Book size
not public
not estimated here
Signals
0
dated events on this person
Registration history
IAPD current and previous registrations
- Cambridge Investment Research Advisors, Inc. BD affiliated currentsince Oct 25, 2021 · Natick, Ma
- Prospera Financial Services, Inc. BD affiliatedFeb 18, 2010 to Oct 27, 2021 · Dallas, Tx
- Jesup & Lamont Securities Corp unclassifiedJan 12, 2007 to Feb 9, 2010 · Boston, Ma
Moves
a registration end followed by a registration begin elsewhere
- Prospera Financial Services, Inc. to Cambridge Investment Research Advisors, Inc.left Oct 27, 2021, registered Oct 25, 2021 (-2 days) · RIA to affiliated broker-dealer or bank
- Jesup & Lamont Securities Corp to Prospera Financial Services, Inc.left Feb 9, 2010, registered Feb 18, 2010 (9 days) · Other
Signals
No dated event on this person.
Transition signals
Mobility scoring is not published yet. The observable conditions this page will draw on once the historical validation is done: tenure, the firm’s own departures and ownership changes, new state registrations, a new adviser entity with this person on Schedule A, and colleagues’ moves. Until precision and lead time are measured on known moves, no label is printed. Read the methodology.
Provenance
- Source
- IAPD individual compilation feedreportedadviserinfo.sec.gov
- Firm class
- Broker-dealer affiliated wealth managerderived
- Years in industry
- 27derivedfrom the earliest dated exam, employment or registration
- Not published
- disclosure flags, outside business text, branch street address