Matt Nakamura, Senior Compliance Advisor

Matt Nakamura is a senior compliance advisor in the Supervisory Controls group at Commonwealth. With the firm since August 2010, he is responsible for overseeing Commonwealth's internal supervisory control process. He earned his MBA from the University of San Diego and holds FINRA Series 7, 24, 53, and 66 securities registrations.
Information about securities-registered professionals may be found at FINRA BROKERCHECK.We value your privacy
This website uses cookies and similar tools, some of which are provided by third parties, to operate and improve our website, enable social media and other features, provide a more tailored experience, and for advertising and marketing. These cookies and tools allow us and third parties to collect user data and communications, IP address and online identifiers, referring URLs and other content and browsing information, and user interactions with this site.
By clicking “Accept All Cookies,” you consent to our use of cookies and similar tools to collect and share information and acknowledge and agree to our Privacy Policy.