VETTED

Kevin Jinkerson

CPFA
The Integrity Wealth Group/LPL
Kevin Jinkerson
Tel: 303-646-7767 9715 E Dorado Ave Greenwood Village, CO 80111
About Kevin Jinkerson
Kevin Jinkerson is a founding partner of The Integrity Wealth Group and an LPL Investment Advisor Representative with more than a decade of experience helping individuals and families navigate increasingly complex financial decisions. His background in retirement plans and employee benefits gave him an early appreciation for how investment strategy, tax planning, risk management, estate considerations, and family priorities must work together.

His commitment to thoughtful planning is deeply personal. After losing both parents at a young age, Kevin experienced firsthand the importance of preparation, protection, and clear decision-making. That perspective continues to shape his work and reinforces his focus on helping clients protect their families, preserve their wealth, and plan confidently for the future.

Kevin works primarily with high-net-worth clients who value thoughtful guidance, personal attention, and a coordinated approach to their financial lives. His work extends beyond investment management to include retirement income planning, tax-aware strategies, estate planning coordination, risk management, education funding, charitable planning, and multigenerational wealth considerations.

Kevin believes meaningful financial advice begins with understanding what clients want their wealth to accomplish. He works closely with each client to identify priorities, evaluate tradeoffs, and develop a coordinated strategy that brings greater clarity and intention to important financial decisions.

Originally from San Francisco, Kevin moved to Denver in 1999 to attend the University of Denver, where he earned both his undergraduate degree and MBA. He and his wife have two children. Outside the office, Kevin enjoys skiing, golf, pickleball, scuba diving, travel, and spending time with his family.
About The Integrity Wealth Group/LPL
The Integrity Wealth Group is a Colorado-based wealth advisory team serving affluent families, professionals, business owners, and individuals who want a more coordinated and intentional approach to their financial lives. Our work is built around our Seven Pillar Process, a comprehensive framework designed to connect investment management, risk management, cash flow strategy, tax planning, estate planning, philanthropy, and value-added services into one cohesive planning experience.

For clients with meaningful wealth, the financial decisions are rarely isolated. Investment strategy, tax exposure, estate considerations, liquidity needs, family protection, charitable intentions, and major life transitions all influence one another. Our role is to help clients bring structure and clarity to those decisions while coordinating with their other trusted professionals, including CPAs, estate attorneys, insurance professionals, mortgage professionals, and real estate advisors. We seek to build long-term relationships based on education, thoughtful planning, proactive communication, and a deep understanding of what each client wants their wealth to accomplish.

The Integrity Wealth Group works through LPL Financial, which serves as our broker-dealer, Registered Investment Adviser, custodian, and operational platform. LPL provides access to investment research, technology, custody, brokerage and advisory infrastructure, data protection resources, and a broad wealth management platform that helps independent advisors deliver tailored guidance to clients. This relationship allows our local team to provide personal, relationship-driven advice while leveraging the scale, resources, and institutional support of one of the nations leading independent financial services firms, with $2.3T* in assets and 8 million Americans served.

*Data as of March 2026
See Disclosures
General Information
Firm Start Year:

2020

Insurance License#:

CO 438419

Name of Broker/Dealer:

LPL Financial

Name of Custodial Firm:

LPL Financial

States Licensed in:

CO, AZ, CA, FL, GA, ID, NY

Communities served:

Located in Greenwood Village, CO, I work with clients across the country.

Number of Years with Current Firm:

6

Work with the following types of clients:

Businesses, Individual Investors, Non-Profit Organizations

Advisory Services Provided:

Financial Advice & Consulting, Investment Advice & Management, Estate Planning & Trusts, Insurance Products & Annuities, Financial Planning, Portfolio Management, Retirement Planning, 401K Rollovers, Wealth Management, Money Management, Education Funding and Planning, Financial Planning for Individuals, Financial Planning for Businesses, Risk Management

Qualifications & Memberships
Insurance and Annuity Licenses:

Disability, Accident, Annuity, Health, Life, Variable Annuity, Long Term Care, Variable Life

Services
Investment Types:

Exchange Traded Funds (ETFs), Mortgages & Real Estate, Insurance, Annuities, Stocks, Bonds, Options & Futures, Mutual Funds, Alternative Investments, Socially Responsible Investments (SRI)

I provide a free initial consultation:

Yes

Preferred meeting methods
Can meet clients in the following ways:

Our Office, Your Home, Video Conference, Your Office

Compensation and Fees
Fee Structure:

Fee-Based

Minimum Portfolio Size for New Managed Accounts:

$250,000

Compensation Methods:

Commissions, Hourly, Based on Assets, Flat Fee

Minimum Fee Charged for Managed Accounts:

Case by Case Basis

Minimum Fee Charged for Hourly Planning Accounts:

Case by Case Basis

Firm Information
Assets Managed by Firm:

Not Specified

Total Assets Under Management by Advisor:

Not Specified

Education
BA in Chemistry:
University of Denver
09/1999 - 06/2005
MBA:
University of Denver
09/2003 - 06/2005
13 Years of Experience
CRD# 6278803Firm CRD# 6413Insurance License# CO 438419Series: 6, 7, 63, 65
Compliance
Registered Investment AdvisorYes
Registered RepresentativeYes
Investment Advisor RepresentativeYes
Acknowledged fiduciaryYes
Compliance Disclosures in Last 5 yearsI have a clean record
Criminal Disclosures in Last 5 yearsI have a clean record
Office Hours
Monday8:00 AM - 5:00 PM
Tuesday8:00 AM - 5:00 PM
Wednesday8:00 AM - 5:00 PM
Thursday8:00 AM - 5:00 PM
Friday8:00 AM - 5:00 PM
Advisor Profile Image
Talk to an AdvisorFINRA/SEC Registered Advisors

Your Information is Safe and Secure

WiserAdvisor
WiserAdvisor is a wholly-owned brand of the Respond.com Inc. ("Respond") family. Respond is registered with the U.S. Securities and Exchange Commission as an investment adviser, and operates through various subsidiaries and brands that provide financial education. WiserAdvisor matches and refers investors to qualified financial professionals that have elected to participate in our matching platform. WiserAdvisor, Respond, and Respond's other subsidiaries and brands do not manage investor assets or otherwise render investment or financial planning advice beyond the referral of investors to qualified financial professionals. By using this website, you agree to our terms and conditions.

© Copyright 2026 WiserAdvisor.com. All Rights Reserved.