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Personal Attention. Independent Advice.

Greenwich Wealth Management Team

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Michael Freeburg
Michael J. FreeburgFounding Member

Business Background:
Greenwich Wealth Management, LLC, Managing Member, 2006 to Present
Leveraged Options Strategies, LLC, Managing Member, October 2016 – July 2017
Catalus Capital, Managing Partner, 2011- present
King Capital, LTD, Managing Director, Oct. 2001 to 2006
Custom Floor Brokerage, Inc., President, 1991 to 2001
Freeburg Futures, Inc., President, 1981 to 1991
Commodity Exchange, Inc., Member, 1981 to 2002

Financial Industry Regulatory Authority (FINRA) Registrations:
Private Client Services, LLC, November 2015 – November 2016
Leigh Baldwin & Co., August 2013 to November 2015
Saxony Securities, Inc., Registered Representative, Dec. 2006 to July 2013
JVB Financial Group, LLC, Registered Representative, 2004 to 2006
First Allied Securities, Inc., Registered Representative, 2002 to 2004

Series 7 – Securities Representative
Series 63 – Uniform Securities Agent State Law
Series 65 – Investment Advisor
Series 79 – Investment Banking Representative
Series 99 – Operations Professional

Daniel Sullivan
Daniel J. SullivanManaging Director, 
Chief Compliance Officer

Business Background:
Greenwich Wealth Management, LLC, Managing Dir. & Sr. Portfolio Analyst, October 2007 to Present
Delta Brokerage, NYBOT, Director of Floor Operations October 2006-October 2007
GA Credit LLC, Mid-Office Mgr., Broker Correlation and Volatility 2001 to October 2006
American Skandia Advisor Funds, 2000-2001
Custom Floor Brokerage, Inc., 1991-2000
Freeburg Futures, Inc., 1987-1991
Commodity Exchange, Inc., Member, 1991 to 2000
Ohio State University, Bachelor of Science, Economics, Class of 1986

Financial Industry Regulatory Authority (FINRA) Registrations:
Private Client Services, LLC, November 2015 – November 2016
Leigh Baldwin & Co., August 2013 to November 2015
Saxony Securities, Inc., Registered Representative, December 2007 to July 2013

Series 7 – Securities Representative
Series 66 – NASAA Uniform Combined State Law
Series 99 – Operations Professional

Vahan Janjigian
Vahan JanjigianChief Investment Officer

Business Background:
Greenwich Wealth Management, LLC, Managing Director, August 2010 to Present
Forbes Media LLC, Chief Investment Strategist, June 1997 to August 2010
Boston College, Visiting Professor of Finance, Sept. 1996 to June 1997
Northeastern University, Assistant Professor of Finance, Sept. 1990 to June 1997
University of Armenia, Visiting Associate Prof. of Finance, March 1992 to August 1992
University of Delaware, Assistant Professor of Finance, Sept. 1985 to June 1990

Accreditations:
Chartered Financial Analyst
Ph.D. in Finance, Virginia Tech

Harry Figgie
Harry FiggieDirector, Wealth Advisor

Business Background:
Greenwich Wealth Management, LLC, October 2009 to Present
Bridgewater Associates, 2009
Key Banc Capital Markets, 2008
North Atlantic Mortgage Corporation & The Sauro Capital Group, 2006 to 2008

Financial Industry Regulatory Authority (FINRA) Registrations:
Private Client Services, LLC, November 2015 – November 2016
Leigh Baldwin & Co., August 2013 to November 2015
Saxony Securities, Inc., Registered Representative, Dec. 2006 to July 2013

Series 7 – Securities Representative
Series 63 – Uniform Securities Agent State Law
Series 65 – Investment Advisor
Series 99 – Operations Professional

longsworth
Robert S. Longsworth IIWealth Advisor

Business Background:
Citrin Cooperman Wealth Management, 2015
Security Asset Management, 2015
First Republic Bank, 2012-2014
Deutsche Bank AG, 2007-2012
Thacher Proffitt & Wood, 2005-2007
MediaEdge:CIA, 2003-2005
Optimedia International, 2000-2003
Longsworth Homes, Inc., 1999-2000
New York University Stern School of Business, M.B.A., 2012
Amherst College, A.B., 1999

Series 7 – Securities Representative
Series 63 – Uniform Securities Agent State Law
Series 65 – Uniform Investment Adviser Law Examination

Dean Nass
Dean Nass

Business Background:
Greenwich Wealth Management, LLC, March 2016 to Present
Liberty Partners Financial Services, LLC November 2017 – Present
Private Client Services, LLC, March 2016 – November 2017
Wells Fargo Advisors, LLC, 2011-2016
Nextera Energy Resources, 2009-2011
Vyapar Capital Markets, 2007-2009
GA Global Markets, 2003-2007
Tradition North America, 2001-2003
Garvin Guy Butler / ICAP, 1993-2001
Tradition North America, 1986-1993

Financial Industry Regulatory Authority (FINRA) Registrations:
Series 7 General Securities Representative
Series 66 Uniform Combined State Law

Accreditations:
Chartered Financial Analyst
BA – Rutgers University

Maggie F. ReedWeb & IT

January 2007 to present

Eric M. FreeburgWeb & IT

January 2007 – present