Meet Your Team

Jared Mabey, CFP®

Private Wealth Advisor

Client Focused. Before establishing Grok Wealth, I worked at major firms, serving over 400 individuals and families, and managing assets in excess of $1 billion. The experience was professionally rewarding, but over the years, I realized I could do more for my clients—devote more time to their goals, instead of the goals of a big company. This inspiration led me to go independent.

I also wanted to spend more time with my family. My wife Melissa and I have been married for eighteen years and have four children: Makayla, Noah, Madilyn, and Oliver. We also enjoy the company of our dog, Griffin. We love the outdoors and can be found hiking, camping, fishing, or trail running all over Colorado. In 2024, I completed The Colorado Trail, a 485-mile journey from Denver to Durango.

Parker Duke

Associate Advisor

Cultivating a Lasting Impact. I am driven by a desire to help clients gain clarity, confidence, and peace of mind around their financial lives. Since joining Grok Wealth, I’ve found deeper meaning in my work by focusing on what truly matters to each client and delivering guidance that is thoughtful and practical.

 
As an Associate Advisor, I believe great financial planning is built on trust, simplicity, and open communication. I strive to be candid and respectful in every interaction, meet clients where they are, and provide a planning experience that feels personal, organized, and aligned with the mission of Grok Wealth.
 
Outside of the office, I enjoy hiking throughout Colorado, exploring small mountain towns in search of the best pizza, and watching movies—especially documentaries and historical films.
Mason

Mason Neerings

Service Advisor

Service Centered. From an early age, I was drawn to personal finance and knew I wanted to pursue a career in the field. Through serving a community outside of my own, I discovered a deeper passion for helping people, which led me to study Financial Planning at BYU-Idaho. I graduated from the Financial Planning Program in the fall of 2025 and joined Grok Wealth as a Service Advisor shortly thereafter.
 
In my role, I support both the advisory team and our clients by focusing on strong relationships and delivering excellent service. I am committed to helping ensure each client experience is smooth, responsive, and personal. In my free time, I enjoy hiking, camping, rock climbing, and playing pickleball.

Complete Support of Independent Financial Partners

Aaron Gilman, CFA®, CFP®

As Chief Investment Officer for Independent Financial Partners and President of IFP Asset Management, I conduct analytical research and due diligence for all investment types, manage portfolio analysis and construction, and direct activities within IFP’s Asset Management Group. I also lead the IFP Investment Advisory Committee. Additionally, I am a partner at MarketPsych Insights, offering client profiling tools for financial advisors, separate from IFP.

Pete Nunley

Pete Nunley

As the Director of Asset Management at IFP, I handle due diligence for investments and assist in managing IFPAM’s model portfolios. I support advisors with various investment-related tasks, such as researching stocks, ETFs, and mutual funds, constructing portfolios, and developing customized investment strategies. Additionally, I oversee strategy implementation within accounts held at Pershing, SEI, Fidelity, and TD Ameritrade, and I serve on IFP’s Investment Advisory Committee.

Torian Johnson

Torian Johnson

As Chief Compliance Officer at Independent Financial Partners (IFP), Torian Johnson leads enterprise-wide compliance strategy across the firm’s RIA and broker-dealer platforms. He partners with executive leadership to scale IFP’s compliance program in support of advisor growth and serves as a primary liaison with the SEC, FINRA, and state regulators.

With more than 15 years of financial services and compliance leadership experience, Torian is known for building practical frameworks that strengthen oversight, improve consistency, and streamline processes for distributed advisor organizations. Prior to IFP, he led compliance programs for multiple RIAs at Key Bridge Compliance and held Chief Compliance Officer roles at Csenge Advisor Group and Newport Group. Torian earned a B.S. in Economics and Business from Lafayette College and holds Series 7, 24, and 66 licenses.

 
 

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