STEVEN R. GOODRICHRole:
Chief Executive Officer Westmoore Securities, Inc.; Chief Compliance Officer
Accreditation:
• Masters Degree in Curriculum and Instruction
• Bachelor of Arts in Business Administration
• Licensed with FINRA (formerly known as NASD) Series 7, 63, 24, and 65 licenses
Bio:
Steve joined Westmoore in 2004 as a registered investment broker where he specialized in analyzing and evaluating public stocks, bonds, and mutual funds. Prior to joining the Westmoore team, he spent 10 years in public education where he taught Mathematics, Computer Technology, and Economics.
Having a former teacher on staff served Westmoore well, as Steve trained several other brokers to prepare for their licensing exams. Using his strong math background and admiration of Warren Buffet, Steve created a unique analytical tool which was helpful in identifying undervalued stocks within the public markets.
He currently oversees the day to day operations of Westmoore Securities and was named its CEO in January of 2007. He is also Chief Compliance Officer for the company, and supervises the 20 investment brokers currently registered with Westmoore Securities.
Securities are offered through Westmoore Securities Inc. Member FINRA. SIPC.
(c) 2008 Westmoore Management LLC