Jonathan Hoy

Jonathan Hoy

Financial Advisor

Office: 781-416-2900 ext. 2058373
Fax: 781-416-2901

Jon Hoy is dedicated to the success of his clients and providing guidance and support to them through their various life events. Whether the need is saving for a child’s education, planning and investing for retirement, improving income, insurance protection, or estate planning strategies, Jon is a sincere and knowledgeable partner in helping his clients succeed with their personal and financial goals. Jon’s knowledge, accessibility, and focus on their comfort level has led to long-lasting relationships.


Jon’s years of service, management, and investment experience has taught him that there is nothing more important than listening and understanding the needs of people in order to help them achieve their goals. Upon graduation from the University of Massachusetts at Amherst, Jon joined Marriott Hotels, spending a decade in management throughout the U.S. where he learned the importance of providing the highest levels of service. His interest in investing, paired with a desire to help and get to know people led him to his career in the financial industry. Jon’s finance background includes working for major investment firms including Kidder Peabody Investments, Fidelity Investments, and Commonwealth Financial Network. Previously, Jon served 18 years as Senior Vice President for Middlesex Financial Group. In this role, Jon developed and managed the investments and financial planning division of Middlesex Savings Bank. He also was the lead Financial Advisor providing financial planning, investment management, and retirement income strategies.


When not advising clients, Jon enjoys spending time with his family and outdoor activities. Growing up on the water, Jon enjoys fishing and boating, as well as golf and skiing. He also loves to read and travelling with his family. Jon lives in Barrington, RI with his wife, Lynn and has two grown sons, Chris and Alex.


Jonathan C. Hoy is a registered representative who offers securities through Equitable Advisors, LLC (NY, NY 212-314-4600), member FINRA, SIPC (Equitable Financial Advisors in MI & TN). Investment advisory products and services offered through Equitable Advisors, LLC, an SEC-registered investment advisor. Annuity and insurance products offered through Equitable Network, LLC. Financial Compass Group, LLC is not a registered investment advisor and is not owned or operated by Equitable Advisors or Equitable Network. AGE-162379 (11/21)(exp. 11/23).



Securities offered through Equitable Advisors, LLC (212-314-4600), member FINRA/SIPC. Annuity and insurance products offered through Equitable Network, LLC and its insurance agency subsidiaries. Equitable Network, LLC does business in California as Equitable Network Insurance Agency of California, LLC and, in Utah, Equitable Network Insurance Agency of Utah, LLC. Equitable Advisors and its affiliates do not provide tax or legal advice. Individuals may transact business and/or respond to inquiries only in state(s) in which they are properly registered and/or licensed. The information in this web site is not investment or securities advice and does not constitute an offer.

Check the background of this financial professional on FINRA's BrokerCheck
Check the background of this financial professional on FINRA's BrokerCheck