Bridges Investment Management Inc.
Bridges Investment Management Inc. (CRD# 108028) is a financial advisory firm headquartered in Omaha, NE. They manage $7,549,835,558 in 2,277 accounts and serve the financial needs of clients across 33 states (or territories).
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Total Assets Under Management7,550MILLION
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Total Number of Accounts2,277ACCOUNTS
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Average Account Value$3,315,694
- A percentage of assets under your management
- Hourly charges
- Fixed fees (other than subscription fees)
- Other
- Financial planning services
- Portfolio management for individuals and/or small businesses
- Portfolio management for investment companies (as well as "business development companies")
- Portfolio management for businesses (other than small businesses) or institutional clients
- Pension consulting services
- Selection of other advisers (including private fund managers)
- Publication of periodicals or newsletters
- Educational seminars/workshops
- Other

AL, AZ, CA, CO, CT, DC, FL, IA, ID, IL, KS, LA, MA, MD, MI, MN, MO, MT, NC, NE, NM, NV, NY, OH, OK, OR, PA, SD, TX, UT, VA, WA, WY
Brenda Anderson (CRD# 3189605) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 18 years of experience in the finance industry.
Michael App (CRD# 2196553) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 4 years of experience in the finance industry.
Edson Bridges (CRD# 2280928) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has 1 year of experience in the finance industry.
Shelby Bruckner (CRD# 6049601) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 10 years of experience in the finance industry. Shelby Bruckner has taken additional exams to become a Certified Financial Planner (CFP®). CFP professionals must pass the comprehensive CFP Certification Examination, pass CFP Board's Fitness Standards for Candidates and Registrants, agree to abide by CFP Board's Code of Ethics and Professional Responsibility and Rules of Conduct which put clients' interests first and comply with the Financial Planning Practice Standards.
Nancy Dodge (CRD# 2280880) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 28 years of experience in the finance industry.
Matthew Eglseder (CRD# 6495738) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 5 years of experience in the finance industry. Matthew Eglseder has taken additional exams to become a Certified Financial Planner (CFP®). CFP professionals must pass the comprehensive CFP Certification Examination, pass CFP Board's Fitness Standards for Candidates and Registrants, agree to abide by CFP Board's Code of Ethics and Professional Responsibility and Rules of Conduct which put clients' interests first and comply with the Financial Planning Practice Standards.
Deborah Grant (CRD# 2280888) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 28 years of experience in the finance industry.
Jack Holmes (CRD# 5052193) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 8 years of experience in the finance industry.
Brian Kirkpatrick (CRD# 2280883) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 25 years of experience in the finance industry.
Megan McMurry (CRD# 6377544) is an Investment Advisor Representative working at Bridges Investment Management Inc. in Omaha, NE and has over 8 years of experience in the finance industry. Megan McMurry has taken additional exams to become a Certified Financial Planner (CFP®). CFP professionals must pass the comprehensive CFP Certification Examination, pass CFP Board's Fitness Standards for Candidates and Registrants, agree to abide by CFP Board's Code of Ethics and Professional Responsibility and Rules of Conduct which put clients' interests first and comply with the Financial Planning Practice Standards.