J.M. Lummis & Company was founded in 1963 in New York City as a money market broker. Today, Lummis & Company remains a money market broker while our subsidiary, J.M. Lummis Securities, a member of FINRA and SIPC, focuses on trading registered securities such as corporate bonds, as an inter-dealer broker.

Our professionals average 17 years money market industry experience, with many possessing greater than 20 years experience in our industry.

We do not position securities or trade them for our own account. Our trades are driven by the needs of the institutional traders with whom we speak every day.

Our dealer and bank network is extensive, with an emphasis on New York and London centers. Lummis' buy-side customers are primarily money funds, government agencies, Fortune 500 cash managers, securities lenders, and other asset managers. We have always been focused on institutions, and our business remains 100% institutional.

If you are an institution active in the taxable money market and broader fixed income markets, we look forward to speaking with you and trying to meet your needs.

© 2011 J.M Lummis & Company 50 Locust Avenue, New Canaan, Connecticut 06840
(800) 243-4381  •  (203) 966-0005  •  Fax: (203) 972-1272