Centaurus Financial - we invest in your success
CuraDebit Free Debt Analysis
  Home > Financial Services > Stock Brokers > Wolf Capital Llc.

Wolf Capital Llc.


Wolf Capital Llc. 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.
 
At Wolf Capital they perform business valuations on a daily basis for a variety of situations. Their professionals have the judgment, expertise, commitment and skills to provide comprehensive valuations for your business.
 
An Investment Banking firm specializing in mergers and acquisitions, private placements, business valuations and corporate finance services for closely held companies. When you work with them, you'll receive the expertise and guidance necessary to help you make the important financial decisions surrounding growth by acquisition, selling, restructuring, family ownership transition, or planning for the long term.
 
The Company team consists of investment bankers dedicated to providing quality service and expert advice to your company. They are backed by the strength of Wolf and Company, a leading regional CPA firm providing accounting, audit, tax and management consulting services to a wide range of closely held clients.

Their complete private placement services included preparing an offering memorandum, identifying your best sources of financing, negotiating the most beneficial terms and expediting the closing.

The company can also help growing organizations determine strategies for growth and diversification, taking into consideration market conditions, your current operating structure, your future opportunities and available capital. Working closely with your company's top management, their professionals will help you develop objectives and a plan to read your goals.
 
The brokerage firms and investment advisory firms, and their representatives, may only transact business in states in which they are properly licensed, or excluded or exempted from applicable state broker-dealer, investment adviser, and representative licensing requirements. Securities transactions, or individualized investment advice for compensation, will not be provided absent compliance with state broker-dealer, investment adviser, and representative licensing requirements, or applicable exclusions or exemptions.

Financial Services Companies all are here at FinancialBrowsers.com

Permission is granted to reproduce this article as long as the above resource paragraph is left intact with active links.

Back to Stock Brokers

 
 
Infinit-i