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Lampost Capital, L.C


Lampost Capital, L.C 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 Company is a full service boutique market making and brokerage firm that has prided it on offering superior execution services in the equity markets to its select client and those of other broker & dealers since 1997.

Lampost offers a range of services that can be custom blended to meet any trading strategy or goal for the individual investor or institutional investment manager. Other brokerage firms lacking their own sophisticated trading desk or market making capability can also take advantage of Lampost's expertise in their search for confidential execution of their customers’ larger orders.

The typical United States hedge fund will require that an investor is accredited under U.S. Securities and Exchange Commission guidelines. An individual investor is accredited if he or she has a net worth in excess of $1,000,000 or has had an individual income of more than $200,000 for the past 2 years or joint income with one’s spouse in excess of $300,000 in each of these years and has a reasonable expectation to reach the same income level in the current year.

Those hedge funds whose investment decisions are directed by a Registered Investment Advisor also may require that an individual investor be an eligible client. An eligible client has at least $750,000 under management with the investment advisor or net worth in excess of $1,500,000.

Lampost can assist you through the process of liquidating some or all of your holdings, whether you participated in a private placement or were the founder of a recently merged or publicly issued company.

The Company is proud to be among a select referral group consisting of carefully assembled accounting, estate and trust service, financial planning, legal, risk management, and insurance experts. The coordinated team approach addresses the current and future needs of the investment client in order to create an investment strategy that meets the complex needs of the sophisticated investor. This ensures that complex aspects of your unique financial circumstance do not fall through the cracks.

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