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Sutter Securities Incorporated

Sutter Securities Incorporated is a member of NASD, the National Association of Securities Dealers. NASD is a self-regulatory organization of the securities industry responsible for the operation and regulation of the NASDQ stock market and over the counter markets. It also administrates exams for the investments professionals, such as the series of 7 exams.

The firm is a full-service investment-banking firm with offices in San Francisco and New York. Senior investment bankers formerly with Bear, Stearns & Co. Inc. and PaineWebber Incorporated founded the firm in 1992, and subsequently they added experienced professionals from other major firms. Their senior investment bankers are dedicated to providing experienced professional assistance to their clients in the areas of financial advisory services, mergers and acquisitions, fairness opinions, business valuations, litigation support, bankruptcy, securities trading, and public finance.

The firm specializes in providing state and local governments with outstanding investment banking and financial advisory expertise and is solicited by its clients to serve them in an advisory capacity; to assist in setting the dollar value of issues, based on need and borrowing capacity; to structure transactions, primarily for completely bid issues; to assist in developing debt management programs; and to advise on all professional matters related to an issue of securities, including the reinvestment of available funds

The firm provides valuations of the securities of both publicly owned and private companies, and it issues fairness opinions related to such valuations, notably to boards of directors.Sutter’s investment bankers have had considerable experience with the special requirements of fair value and fair market value litigation. Their principals are widely respected in the valuation community. They have contributed to leading valuation books and periodicals, lectured on valuation in tax seminars, universities and valuation forums, and testified before U.S. Senate Finance Committee.

Their trading department activities are directed primarily to institutional clients, in both the domestic and international markets. Additionally, they directly service many high nets worth clients whose objectives often require the preservation of capital while still providing periodic income.  For these clients they provide the highest quality of service tailored to their personal specifications and they often assist their tax professionals with year-end documentation requirements.

Client satisfaction is the most appropriate measure of their success, and they pride themselves on their high level of communication and service.

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