QCA Capital Management Inc
Data sourced from SEC public records (and other sources when available). Refreshed weekly • Updated today.
Client AUMClient assets under management
$250,502,720
Clients
115
Advisors
3
of 8 employees
About
QCA Capital Management, Inc. is an SEC-registered investment adviser managing roughly $252 million on behalf of about 115 clients. The firm provides discretionary and non-discretionary investment advisory and portfolio management services to individuals (including high net worth clients), trusts, estates, pension and profit-sharing plans, charitable organizations, and corporations.
QCA develops personalized investment policies after an initial consultation and generally favors a long-term investment horizon while employing shorter-term trading techniques, margin, options, and short sales when appropriate for a client’s objectives. The firm offers multiple strategy models — Growth, Growth & Income, Income, and a Focused Equity sleeve aimed at accredited investors — and supplements portfolios with alternative investments such as private credit, private equity, real assets, and exchange funds for concentrated positions.
What distinguishes QCA from many peers is its corporate structure and brokerage activity: it is a wholly owned subsidiary of a long‑standing broker/dealer parent and routinely executes brokerage through that affiliated broker/dealer and larger clearing firms, with related transaction and service arrangements that clients should expect. The firm also maintains higher internal standards for advisory personnel (requiring at least a master’s‑level education or equivalent professional certification) and makes available a closed, unconstrained Focused Equity strategy for accredited investors, features that are less common among similarly sized supported firms.
Client services
Expertise
Fee options
Less than $999,999 - $999,999: 2.00% $1,000,000 - $4,999,999: 1.50% $5,000,000 - $9,999,999: 1.00% Over $10,000,000+: Negotiable
Account minimum: $500,000 (may be waived at QCA's discretion)
Main office
11111 Santa Monica Blvd, Suite 1650
Los Angeles CA 90025
Advisors at this office
3
Most active in
California
Disclosures
Exclamation point means they have disclosures of this type. Check mark means no disclosures of this type were found.
Business activities & affiliations
Is active or affiliated with:
Broker-dealer / trader
They provide brokerage services and may earn transaction-based compensation in addition to advisory fees.
Is not active or affiliated with:
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Insurance agent
They sell insurance products and may earn commissions on those sales.
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Bank
They're affiliated with a bank that may offer its own financial products and services.
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Trust company
They provide trust and estate administration services, typically for separate fees.
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Fund sponsor
They manage or sponsor investment funds and may earn management or performance-based fees if clients invest in them.
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Accountant / CPA / tax prep
They offer tax and accounting services, typically for separate fees.
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Lawyer
They provide legal services, typically billed separately.
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Real estate agent
They facilitate real estate transactions and may earn commissions.
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Other specialized services
They may provide services such as pension consulting or municipal advisory work, typically for separate fees.
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Advisors at this firm
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