Jeremy Kearns
About Jeremy Kearns
Jeremy Kearns is the Director of Derivatives Trading at TD Ameritrade, with extensive experience in trading strategies, portfolio management, and FINRA compliance.
Current Role at TD Ameritrade
Jeremy Kearns serves as the Director of Derivatives Trading at TD Ameritrade. He has held this position since 2018, operating in the Greater St. Louis Area. His role involves overseeing the derivatives trading division, leveraging his extensive expertise in trading strategies and portfolio management. Kearns brings a wealth of experience to TD Ameritrade, having a strong background in the financial services industry, particularly in the derivatives market.
Previous Experience at Scottrade
Before joining TD Ameritrade, Jeremy Kearns worked at Scottrade as the Senior Manager of Active Trader Services/Scottrade PRO from 2006 to 2018. During his 12-year tenure, he was responsible for managing services tailored to active traders, enhancing customer experiences, and driving the growth of Scottrade's Pro services. His role was pivotal in the company's efforts to cater to high-frequency traders and professional trading clients.
Educational Background
Jeremy Kearns attended Saint Louis University, where he studied Finance and earned a Bachelor of Business Administration (BBA) degree. He completed his studies from 2001 to 2005. His education provided him with a solid foundation in financial principles and business administration, which he has applied throughout his career in the financial services industry.
Expertise in Derivatives Trading and Portfolio Management
Jeremy Kearns possesses strong expertise in trading strategies and portfolio management, specifically within the derivatives market. His in-depth knowledge of market dynamics and trading mechanisms allows him to develop and execute effective trading strategies. Kearns' skill set is particularly valuable for managing complex derivatives portfolios and optimizing returns for clients.
Compliance Knowledge in Financial Regulations
Kearns has extensive knowledge and experience in compliance with FINRA regulations. His familiarity with financial regulatory standards ensures that his trading activities and portfolio management practices align with industry compliance requirements. This expertise is critical for maintaining the integrity and legality of operations within the financial services industry.