Alan is our Portfolio Manager, Head of Fee-Based Products. Alan has a MA in Economics from Queen's University, is a CFA Charterholder and carries the Accredited Investment Fiduciary designation.
His work experience includes seven years at the Bank of Canada in the Securities Policy Department, Bank of Montreal in Canadian and US fixed income (Toronto and London, England), and after moving to Vancouver in 1993, various investment dealer positions in research and discretionary money management, including the introduction of fee-based products to retail clients.
Contact Alan: (604) 697-6135
Alan has spent his 30 year career working in the capital markets spanning investment banking, derivatives and institutional equities with BMO, CIBC and Haywood for the last 13 years. He brings this deep background and a strong client service focus to customized investment opportunities. He uses both a fundamental and quantitative approach overlaid with technical analysis.
Alan is a graduate of McMaster University and has a MBA and CPA.
Contact Alan: (416) 507-2730
Allison joined Haywood in 2003 and has over 21 years of financial industry experience. Allison works as an Investment Associate with Tony Migliarese, Ted Parker and Rod Cavanagh and assists with client's varied financial wealth planning needs. Allison holds her Certified Financial Planner Designation and uses this knowledge to help client's develop a financial plan and roadmap to achieve their financial goals.
Educated and trained as a Paralegal, she switched industries in 1998, first working at a boutique Investment Bank and later becoming a fully licensed Investment Advisor serving retail clients. She has completed the Canadian Securities Course, Conduct & Practices Course, Professional Financial Planning I & II, as well as Derivative and Option Fundamentals course. Allison is also licensed as an Assistant Representative to serve US clients through our affiliate Haywood USA. In the ever changing financial service industry, she is committed to continuing her education and enhancing her knowledge to best serve her clients needs.
Contact: Allison: (403) 509-1944
Andrew came to Canada in September 2000 after completing his undergraduate degree in the UK. He initially took a role in the mining investment banking team with Endeavour Financial before joining Haywood in 2004.
Andrew has over a decade of experience in the financial industry and his primary focus is on small to mid-cap companies within the natural resource sector. Together with his partner David Elliott, they have made a significant contribution to many public and private mineral exploration companies, providing seed capital and subsequent financing for exploration and development. Andrew and David not only supply capital to resource companies but are also actively involved with overseeing management of the companies to help them grow and achieve their full potential.
He invests alongside his clients and specializes in investment strategies for high net worth individuals and international investment funds.
Contact Andrew: (604) 697-7443
Barry has been a Financial Advisor since 1998. Currently his main focus is on the derivatives market; option strategies for the bullish, bearish or neutral investor as a hedge or investment. In the mid-90s Barry worked his way up the ranks to Vice President of a junior mining company who had success in selling their Honduran gold exploration property to a senior gold producer. That experience led to working alongside The Long Wave Analyst, Ian Gordon, for 9 years, and helping to raise millions for various resource exploration companies.
Contact Barry: (416) 507-2320 | Assistant: Maria Demiris (604) 697-7751
Bernard joined Haywood in September 1999 and has over 30 years experience in the financial Industry. As well as an Investment Advisor, Bernard is also a registered Associate Portfolio Manager. He is a graduate of the University of Ottawa with a B of Sc. and maintains the designation of Professional Engineer of the Province of BC.
Contact Bernard: (604) 697-7407
Bob has been an Investment Advisor for over 20 years. He has helped clients reach their important financial goals, such as accumulating wealth for retirement, or saving for their children's university education. Bob believes in a process-driven approach and relies on a quantitative screening model to ascertain the most profitable areas to invest in for his clients.
Bob is licensed to work with clients in Ontario, Alberta, British Columbia and New Brunswick. Additionally, Bob holds his Series 7 license to work with US investors in most US states.
Contact Bob: (416) 507-2736 | Assistant: Andrew Houser (416) 507-2717
Brent has been in the investment industry for over 30 years and spent two decades on the institutional side of the industry providing solutions to Canadian and international investors. Over the past 10 years, Brent has focused on individual investors, providing global experience and independent solutions to help affluent and business owners protect and simplify complex wealth issues with his straight-talking financial strategies.Brent graduated from the University of Winnipeg with a BA in Business Administration. He is a Chartered Investment Manager (CIM) in Canada and, has been a Registered Representative with Haywood Securities (USA) Inc. since 2018.
In his free time outside of work, Brent enjoys fly fishing, woodworking, gardening and golf. He is also an avid sports car enthusiast. Brent is married with two daughters ages 30 and 25.
Contact Brent: (416) 507-2772 | Visit Brent's Website
Brian joined Haywood in April 2003. Prior to joining Haywood, he served as a Director and Senior Vice President at Raymond James. He has 34 years of experience in the investment arena as an Investment Advisor. Brian has a Business degree, with a major in accounting from Southern Alberta Institute of Technology.
Contact Brian: (403) 509-1971 | Assistant: Colette Wood (403) 509-1962
Caleb Chan joined Haywood in 2010. His client base ranges from high net worth immigrant investors to local professionals and family offices. Caleb specializes in creating comprehensive wealth management solutions tailored to realize his clients' distinct financial objectives. He has a strong passion for helping early-stage private and public companies elevate their business by raising venture capital and formulating listing strategies. Caleb holds a Bachelor of Commerce in Entrepreneurship and an MBA. Caleb and his team are fluent in Mandarin, Cantonese, and English.
Contact Caleb: (604) 697-7199 | Assistant: Denise Yang (604) 697-7135 | Assistant: Frances Zhang (604) 697-6042
joined Haywood Securities in 2002 and has been serving individual clients and
families since 1984. He has worked with independent investment boutiques over the
years to build his Canadian and global clientele for the purpose of assisting
them in realizing their investment objectives. He believes that investors can enhance their financial
well-being by participating in Canadian and global economic growth over time.
The capital growth and income objectives are achieved through investment
portfolio construction, using analytically selected individual stocks and
bonds. Carlo’s economics training equips him to understand the business cycle,
which enables him to appreciate the fact that there is a time to plant and a
time to harvest, therefore making investment decisions accordingly.
focus is on developing long-term client relationships, built on trust and
excellent customer service. He is a graduate of York University with a Bachelor
of Arts in Economics. He enjoys music and the adventure of travel and
Aiello: (416) 507-2377 | Associate: Andrew Houser (416) 507-2717 --- Toll Free
Carlo Rahal joined Haywood in February 2015. Carlo began his career in the investment business in 1982. His clients range from institutions, investment funds and high net worth individuals.
Contact Carlo: (604) 697-6087
Chris joined Haywood Securities in 2013, bringing over 30 years of experience in the investment industry. This includes a six year period in London, England, where he dealt with European institutional investors. The last 20 years have been spent in Vancouver dealing with institutional investors in western Canada and the western US.Chris is also licensed to trade for US based private clients investors.
Contact Chris: (604) 697-6121 | Assistant: Shalini Fowler (604) 697-6033 Visit Chris's Website
Daniel joined Haywood in 2010. With over 20 years of experience in the financial services industry as an options licensed Investment Advisor and registered trader with a PFP designation. Daniel has extensive experience working with clients in equities and options trading. He works with clients to provide and implement a wide variety of trading strategies, emphasizing risk management and profit optimization. His focus is building long term relationships on exceptional customer service and astute financial advice.
Contact Daniel: (604) 697-6180 | Assistant: Maria Demiris (604) 697-7751
David is a long-standing member of Haywood's Board of Directors and Management.
David began his career with Doherty Roadhouse & McCuaig Bros in Montreal in 1968 and transferred to Vancouver in 1970. He also worked at Westcoast Securities and Walwyn Stodgel Cochran Murray until joining forces with John Tognetti, David Shepherd and Rob Blanchard to purchase Haywood Securities Inc. in 1986.
David has focused on the Mining Sector for over 35 years, and along with his partner Andrew Williams, continues to generate investment opportunities for their Retail and Institutional clients.
Contact David: (604) 697-7111 | Assistant: Tatjana Wimmer (604) 697-7125
David has been in the industry for over 17 years and provides tailored investment solutions and access to exclusive opportunities in the venture capital space.David and Harry Jawanda provide the highest level of commitment for your investment needs.
Contact David: (604) 697-7460 | Harry Jawanda: (604) 697-7562
After spending 6 years of his career working with one
of the top producing retail teams at a Vancouver-based independent dealer,
David joined Haywood in January 2022 as a fully licensed Investment Advisor.
David services his clients with their holistic wealth management needs but is
most passionate about uncovering unique “wealth-creating” opportunities. David
has deep relationships in the
private equity sector and offers exclusive access to IPOs and secondary
Contact David: (604) 697-9332 | Associate: Angela Liu (604) 697-9331
David started in the securities business in 1992 and joined the Toronto trading desk of McDermid St. Lawrence Securities in 1995 to work with his father, John Shemilt. From there he continued to build a diversified retail client base which included retirement planning and financing junior Canadian public companies. To better serve his clients, he added his Portfolio Manager designation in 2016. David joined Haywood Securities in 2003, became Branch Manager of the Toronto Office and joined the Haywood Board of Directors in 2016. Since 2015 David has been actively involved in board governance and board reform for both a community sport organization and a provincial sport organization.
Contact David: (416) 507-2700 | Assistant: Charmaine Leong (416) 507-2706
Contact Don: (604) 697-7132
With over 35 years of industry experience, the last 15 with Haywood, Don has mostly focused on the Canadian resource sector. Additionally, Don has been investing in the Canadian bond market for the past 6 years.
Contact Don: (416) 507-2311
Enrico has been in the securities industry for over 35 years, focusing primarily in the mining and energy sectors with an extensive background in initial public offerings. Prior to joining Haywood, at his previous firm he was a regular member of the Chairman's Club in recognition of achievement.
Contact Enrico: (604) 697-6029 | Assistant: Rowena Everett (604) 697-6031
is born and raised in Vancouver and grew up in the world of finance. He majored
in Economics at the University of Victoria and brings with him more than 10 years
of experience in the Wealth Management and Capital Markets businesses.
has worked in a multitude of financial positions over the years which have
allowed him to develop a holistic approach to investing and financial planning.
focus on global macroeconomic conditions helps ensure his clients are always on
track to achieving their financial goals. As part of his extensive professional development, Frank has completed
several courses offered by the Canadian Securities Institute and is currently
working towards his Chartered Investment Manager designation.
Contact Frank: (604) 697-9304
Fred has been active in the Securities industry since 1987, where he began his career at Continental Securities, which merged with Yorkton Securities in 1989. In 2002 Fred became a partner of Bolder Investment Partners and transferred his business to Haywood in October of 2010. Fred maintains an active book and enjoys working with his clients and industry colleagues.
Contact Fred: (604) 697-6182
Gary studied Commerce and Economics at the University of British Columbia prior to starting in the brokerage industry 30 years ago. Gary joined Haywood in 2004 and focuses primarily on the Junior Resource Sector.
Contact Gary: (604) 697-6020 | Assistant: Lorinda Hoyem (604) 697-6023
joins Haywood with 7 years of investment management and financial planning
experience. Giovanni provides comprehensive wealth management solutions and
access to exclusive investment opportunities to working individuals, corporate
professionals, business owners, and retirees.
Giovanni has relationships with
trusted outside professionals who can independently service his clients with
civil law consultation, tax-planning strategies, business succession &
Giovanni is committed
to helping his clients achieve their financial objectives by providing a high
level of professionalism and client service.
Contact Giovanni: (403) 509-1935
Grant started his career in the investment industry with Bolder Investment Partners, and thereafter joined Haywood Securities in 2010. With his expanding knowledge of developing technologies, an area of focus in his investment strategies, Grant identifies growth opportunities early on. Grant is options licensed, and has extensive experience with initial public offerings and secondary financings. Grant believes in building long-term relationships with his clients in order to work as a team to reach their investment goals.
Contact Grant: (604) 697-6193
Greg has over 22 years experience in the financial services industry and holds a Bachelor of Arts, Honors Business Administration, from the Ivey Business School University of Western Ontario. He also holds the CIM designation and is an approved Portfolio Manager.
Contact Greg: (416) 507-2778 | Todd Gibson (416) 507-2373
Harry began his career working with his partner David Kearnes - providing high level Venture Capital services to select groups of high net worth clients. They pursue junior companies with growth potential in a variety of sectors to ensure the products they offer their clients are tailored to their specific investments needs. Harry holds a double BSc in Mathematics and Economics.
Contact Harry: (604) 697-7562 | David Kearnes: (604) 697-7460
As an Investment Advisor, Iacopo specializes in building long-term portfolios for his clients specifically made up of large cap international stocks and ETFs. Iacopo also works as a Fee Based Products Associate and helped build the Separately Managed Accounts platform at Haywood alongside Alan Berge.
Before joining Haywood in 2019 Iacopo worked for the Royal Bank of Canada in the retail sector. Iacopo speaks English, Italian, and Spanish fluently which enables him to service to clients in multiple jurisdictions.
Contact Iacopo: (604) 697-6127
Ian Frame joined Haywood in September of 2015. Ian has thirty years of experience as an Investment Advisor and his expertise includes resource-based venture capital and wealth management, offered through a boutique service. Prior to joining Haywood and since 1988, Ian was Vice-President, Investment Advisor at RGMP Securities Ltd, Macquarie Private Wealth, Blackmont Capital and Yorkton Securities Inc.
Contact Ian: (403) 509-1810 | Assistant: Gayle Elliott (403) 509-1923
Ivano joined Haywood in 2010 and brings over 22 years of experience in financial services and venture capital. He specializes in structuring and raising capital for private and public companies in the mining, technology and biotech sectors.Ivano is also licensed to trade Options and is able to offer trading strategies for his clients, and is now also licensed as a Registered Representative in the U.S.
Contact Ivano: (604) 697-6184 | Assistant: Joyce Winshar (604) 697-6192
James offers comprehensive investment management solutions that are carefully tailored to meet each client's retirement and estate planning needs. His 25 years of experience is reflected in a conservative investment approach, matching clients desire to grow their portfolios while also protecting and preserving their wealth.
Contact James: (416) 507-2782
Jason joined Haywood in 2005 as an Investment Advisor and Equities and Option Trader. He has been in the securities industry for over 20 years. Jason's focus is on developing long term business relationships with his domestic and foreign clients, built on trust and sustained with exceptional customer service. Jason also enjoys options trading and is a qualified options supervisor at Haywood.Jason is also a U.S. FINRA-Licensed Registered Representative.
Contact Jason: (604) 697-6027 | Assistant: Lorinda Hoyem (604) 697-6023
Jason joined Haywood in 2020 and has been involved in the financial industry for over 25 years. Jason provides guidance to his clients who are seeking wealth management strategies as well as advice on venture opportunities for clients who are more risk tolerant and prefer a more speculative investment approach.
Jason is a member of David Elliott and Andrew Williams’ team, supporting the group as a fully licensed Registered Representative and Trader. He is also options licensed, and since 2018 has been a U.S. licensed Registered Representative, currently through our subsidiary, Haywood Securities USA Inc.
Jay joined Haywood Securities in March of 2003. Jay possesses over 20 years of experience as a retail Investment Advisor. A graduate of York University and Osgoode Hall Law School, Jay holds both a B.A. and a LL.B.
Contact Jay: (416) 507-2777 | Assistant: Andrew Houser (416) 507-2717
Jeff joined Haywood in December 2002. He has over 30 years of experience as an investment advisor. Jeff is licensed to trade options. He holds a marketing and sales diploma from V.C.C. Langara Campus, and attended the University of British Columbia.
Contact Jeff: (604) 697-7189
Jeff joined Haywood in 1996 as a registered trader, and became a licensed broker in 1999.
Jeff's qualifications include completion of the Canadian Securities Course, Trader Training Course, Conduct and Practices Handbook, Series 37 and the Professional Financial Planning course.
Contact Jeff: (604) 697-7173
Since 1983 Jennifer has worked for both national and international firms and has successfully steered clients through a number of market cycles. She learned how economic cycles can affect life in general. Both her parents worked in the investment industry (her father was the first commodity broker in Calgary).
Contact Jennifer: (403) 509-1950 View Jennifer's Website
Jock joined Haywood Securities in October 2010 after transferring his business from Bolder Investment Partners, where he was a Partner and Director. Jock has been an executive in the securities industry since 1980, where he began his career at McDermid St. Lawrence (now Raymond James Canada) as an Investment Advisor and eventually became a Director of the firm. Jock joined Canaccord Capital in 1992, where he was appointed Vice President and worked as an Investment Advisor. In 1998 Jock helped form Bolder Investment Partners, which was eventually taken over by Haywood in 2010. Additionally, Jock is a fellow of the Canadian Securities Institute (FCSI).
Contact Jock: (604) 697-6198
John joined Haywood Securities Inc. as an Investment Advisor in 2014 and has been a Registered Representative with Haywood Securities (USA) Inc. since 2015. With over 20 years of experience servicing a diverse clientele located in Canada, the US and abroad, John covers multiple sectors and has a proven track record of identifying attractive investment opportunities for clients. A significant part of John's business is dedicated to assisting clients located outside of Canada that require solutions related to Canadian listed securities and markets.
Contact John: (604) 697-6170 | Licensed Assistant: Stephanie Baufeld (604) 697-7158 | Administrative Assistant: Joyce Woo (604) 697-6062 | Trading: Marcus Antonation (604) 697-7754
John joined Haywood in October 2001 and has over 19 years of experience as a stock broker. He has focused his career developing long term relationships and works closely with his clients to help manage their investment goals. He specializes in looking for opportunities in small to mid-capital companies. John holds a business degree from Simon Fraser University with a focus on Finance and Marketing and holds the Professional Financial Planner (PFP) designation.
Contact John: (604) 697-7190 | Rob Watts (604) 697-6095
John joined Haywood in 2018 as an assistant for multiple investment advisors. His passion for crypto currency and high growth technology companies, led him in 2020 to build a rapidly growing clientele exclusively focused in those areas. John comes from a background in retail banking and since 2015 has developed a broad crypto experience including extensive crypto mining. John is known for his in depth knowledge, his ability to see trends, capitalize on them, and most importantly, the pursuit of excellent client satisfaction.
John holds a BBA and received his Certified Bitcoin Professional Certificate (CBP) in 2016.
Contact John: (604) 697-6191 | Assistant: Nicholas Glavas (604) 697-9347
John brings over 17 years of capital markets experience from both the buy and sell side. Most recently, he spent 8 years as Senior VP of Institutional Trading at Macquarie Securities with a primary focus on the resource sector. Throughout his career in finance John has built a strong network with global investors providing value-added insight on the Canadian markets. Previous roles include 3 years as an Associate Portfolio Manager at Blumont Capital, and 3 years as a Senior Analyst/Trader at First Asset Investments.
Contact John: (416) 507-2303
John Tognetti is credited with guiding Haywood's growth from a regional retail investment dealer to a leading independent, full-service firm. With more than 30 years of experience as an investment adviser and trader, John has brought Haywood Securities extensive retail and institutional distribution as well as a multitude of industry contacts. John has a proven track record of providing his clients with successful and timely investment ideas.
Contact John: (604) 697-7420 | Assistant: Cindy Schoenhaar (604) 697-7424
John joined Haywood in 1996 and has accumulated more than 30 years of experience in the brokerage industry, focusing primarily on trading. John currently manages the Retail Trading Desk and holds both his Canadian and U.S. license.
Contact John: (604) 697-7106
Jonathan has been with Haywood Securities since 2008. His years as a Sales Associate to one of Haywood's top producing Investment Advisor have served him well in his current role.
As an Investment Advisor, Jonathan focuses on assisting clients who have reached the stage where their financial affairs have become increasingly complex and require professional support to manage their investment portfolio. As part of his extensive professional development, Jonathan has completed several courses offered by the Canadian Securities Institute.
Contact Jonathan: (604) 697-6054
Assistant: Lexi Anderson (604) 697-7676
has been employed with Haywood Securities Inc. for 10 years, a registered Investment Advisor since 2017 and is options licensed.Kevin is also a licensed Registered Representative with Haywood Securities (USA) Inc.
Kevin: (604) 697-6056 | Assistant: Maria Demiris (604) 697-7751
Contact Kimble: (604) 697-6179 | Assistant: Nicholas Glavas (604) 697-9347
Kirk joined Haywood Securities Inc. in 1988 and has been an Investment Advisor of Retail Sales and Trading since 1982.
Prior to joining Haywood, he worked at a Vancouver-based investment dealer. He achieved his Canadian securities license in 1982 and has been a Registered Representative with Haywood Securities Inc. (USA) since 1988. With more than 30 years of experience, Kirk is an industry veteran, well known for his technical skillset, integrity, and steadfast commitment to high quality service.
Contact Kirk: (604) 697-7134 | Assistant: Angela Civitareale (604) 697-7118
Len joined Haywood in 1988, after spending 4 years as a broker at one of Canada's oldest brokerage firms. Len obtained his U.S. registration as a broker in 1998.
Len has worked with his partner Kirk Fyffe for 30 years. Through the years this unique partnership has earned a strong reputation for exceptional service, integrity and commitment to clients. Angela Civitareale joined the team in 2004.
Contact Len: (604) 697-7115 | Assistant: Angela Civitareale (604) 697-7118
Lisa has over 15 years’ experience as an Investment Advisor, growing a hybrid wealth management business catering to both Canadian and International clients. Her services include investment portfolio management, household financial consultation, and identifying venture opportunities. She has co-led the successful listings of capital pool corporations and go-public transactions with a focus on diligently managing risk for all stakeholders.
Lisa has further demonstrated her leadership acumen by serving on municipal economic and development committees, and by completing her Six Sigma Green belt certification. Her personal and professional passions intersect in areas focused on environmental sustainability, health and wellness, and elevating women to recognize themselves as confident investors.
She had the privilege of graduating from the University of Guelph with a Bachelor of Commerce and holds multiple certificates and licenses from the Canadian Securities Institute.
As a Registered Representative with Haywood Securities (USA), Lisa provides U.S. clientele with access to the Canadian public markets.
Contact Lisa: (604) 697-9305 | firstname.lastname@example.org | Assistant: Shalini Fowler (604) 697-6033
Lorna is a graduate of McMaster University and has been a registered Investment Advisor with Haywood Securities Inc. since 1991. Lorna is also a Registered Representative with Haywood Securities (USA) Inc. which allows her to conduct investment business with residents of the USA. Her focus is on helping to prepare her clients for retirement while managing their investment needs during their working years. Lorna has served on the board of directors of Theatre Calgary, Vertigo Theatre and the Panorama Mountain Freeride Club.
Contact Lorna: (403) 509-1908 | Visit Lorna's Website
Lui joined Haywood in August 2023, bringing over 20 years of experience in the Canadian Capital markets in Institutional Sales, working mostly with independent sell side boutiques, most recently at Beacon Securities. Prior to capital markets, he worked as a commodities broker with a large US brokerage.
Lui is a graduate of Ryerson University with a degree in Commerce.
Contact Lui: office (416) 507-2308 | mobile (647) 409-8262 | email@example.com
Martin joined Haywood in 2003 and has experience in sales & trading, investment banking and portfolio management. With over 20 years of capital markets experience and a disciplined approach to risk management, Martin offers clients customized portfolio solutions on a discretionary managed basis, in addition to equity fundraising, execution and advisory services.
Martin holds an MBA from Queens University and is a CFA Charterholder. He has been a U.S. licensed Registered Representative with Haywood Securities (USA) Inc. since 2004.
Contact Martin: (604) 697-7163 | Assistant: Luciana Ellis: (604) 697-6138
Michael joined Haywood in 2013 and has over 12 years of investment experience in the resource sector. He has had the opportunity to work on both sides of the business. Previously working on the issuer side, he worked closely with a successful management team having an exceptional track record of building successful companies. Michael's primary objective is to provide excellent service to his clients, while his focus is aimed at leveraging his long-term relationships with successful management teams to bring exclusive investment opportunities to his clients.
Contact Michael: (604) 697-6171 | Assistant: Shalini Fowler (604) 697-6033
Prior to joining Haywood in 2018, Michael provided disciplined investment advice and objective-based research, working with an independent full-service investment firm and prior, with one of Canada's largest banks. Michael has been a Registered Representative with Haywood Securities (USA) since 2019.
Michael has earned his Chartered Financial Analyst® (CFA) Charterholder designation, the highest distinction in the investment management profession, and holds a Bachelor of Business Administration Degree (BBA).
Contact Michael: (604) 697-6043 | firstname.lastname@example.org
Michael has been a trader since 1998, starting in the energy derivatives sector in Calgary and moving to the equities sector in Toronto in 2002. Michael joined Haywood Securities Inc. in 2013 as an Institutional Sales Trader and has been a Registered Representative with Haywood Securities (USA) Inc. since 2013. Michael, a CFA Charterholder, brings key experience to buy-side clients in North America and abroad, institutional and retail clients alike.
Contact Michael: (416) 507-2313
Michael McGuin was appointed to Haywood’s Institutional Sales and Trading Group in 2010. Michael is an accomplished institutional salesperson bringing relevant experience, skills and relationships to heighten the team’s research and idea distribution in the mining and oil & gas sectors.
Michael has worked in a variety of roles in institutional equity sales, where he gained extensive experience and knowledge of the domestic and international markets. He was most recently at Blackmont Capital, an institutional and retail equity brokerage firm.
Contact Michael: 416-507-2421
Nanci started her industry career in 1994 as an assistant for one of the top performing Investment Advisors with Burns Fry Ltd. After a decade in the capital markets, in a variety of administrative roles (followed by an extended leave to focus on raising her five children), Nanci joined Haywood Securities in 2017. She is currently a Registered Representative and the Vancouver Head Office, Branch Manager – Retail Sales.
Nanci holds a Bachelor of Business Administration from the University of New Brunswick and has completed her CFA Level 1 exam.
Nancy joined Haywood in July 1996 with over 15 years of trading experience. She came to Haywood as a trader for David Elliott and over the years has developed her own broker/dealer business as well. Nancy loves the fast paced aspect of trading and has continued to enhance her knowledge of today's ever changing marketplace.
Contact Nancy: (604) 697-7182
Niall joins Haywood from various advisory and capital markets positions, most recently in London, having spent the last three years in investment banking roles focused on financial restructuring. Prior to this, he gained 10 years of experience in institutional equity sales at a major Canadian bank based in both Toronto and London.
Contact Niall: 416-507-2325
Contact Nic: (604) 697-7552
Pat has close to 40 years’ experience in the brokerage industry. Pat started his career in 1974 with Bongard Leslie in Toronto, then returned to British Columbia in 1977 and joined Canarim Investments where his father, brother and eventually son and nephew worked.
Pat enjoyed 36 years as a trader/salesperson both on and off the trading floor while working there. Moving on to spend two years with Richardson GMP, Pat missed the entrepreneurial spirit and trading flexibility of a local firm and is pleased to have started with Haywood in September 2015, where he shares his time with many friends and colleagues.Pat is fully U.S. and Canadian licensed.Contact Pat: (604) 697-7144 | Assistant: Lexi Anderson (604) 697-7676
Born and raised in Vancouver, Paul’s been an Investment Advisor in Canada for over 30 years and a U.S. Registered Representative for over 20 years, helping clients grow their wealth. After completing a Bachelor of Commerce degree at the University of British Columbia, Paul worked as an Investment Advisor with Yorkton Securities and later obtained his Master of Business Administration. He joined Canaccord Genuity Wealth Management in 2005 and joined Haywood Securities Inc. as a Investment Advisor and Haywood Securities (USA) Inc. as a Registered Representative in 2015.
Paul enjoys working with entrepreneurs, business owners and senior executives in a variety of industries ranging from mining to technology. His extensive knowledge of financial products allows him to work with his clients to provide individualized investment and retirement solutions. In addition to providing investment advice, Paul has been instrumental in the listing and financing of numerous public companies.
Paul holds both his Canadian and U.S. brokers licenses and works with clients in several international jurisdictions. Paul also holds an insurance license in British Columbia.Contact Paul: (604) 697-6025
Paul Saks joined Haywood 15 years ago, after a 14 year stint at Burns Fry/ Nesbitt Burns. Although he departed as a top tier Investment Advisor, he found the big bank culture unappealing. Paul enjoys creating growth and growth and income portfolios that are not overly diversified. He believes in managing names and keeping the approach simple with regard to client suitability, needs, objectives, risk profile and tolerance.
Paul has extensive experience in the energy sector and a far reaching network in this domain which helps him to manage the cycles in this dynamic area. Paul’s decision making abilities are an asset in the quickly changing, globally interactive markets of today.
Contact Paul: (403) 509-1917 | Assistant: Andrew Grimmett: (403) 509-1914
Randal is an Investment Advisor & Associate Portfolio Manager with Haywood Securities Inc. He earned his Economics degree at the University of British Columbia in 1993, prior to working around the world in places like Austria, Switzerland, Australia and Chile, where he helped run the operations of a mining company. In 1997, he became an Investment Advisor, Professional Financial Planner and, in 2005, he became an Associate Portfolio Manager after obtaining his Chartered Investment Manager designation. Randal has been a Registered Representative with Haywood Securities (USA) Inc. since 2015. Randal specializes in Canadian equities, ranging from blue-chip dividend-payers to resource and technology growth stocks. His strong network provides him with qualified insight on assets, management teams and fund flows, which can give him and his clients a competitive advantage.
Contact Randal: (604) 697-7429 | Assistant: Justin Moorehead (416) 507-2773 | View Randal's Website
Richard joined Haywood in 2004 and has over 23 years of experience in the financial service industry. He enjoys working with clients and helping them reach their financial goals, be it saving and planning for retirement, educational savings, or preserving and growing their capital over time. He works with clients to build and maintain a customized portfolio that suits their individual needs. Richard holds the Chartered Investment Manager (CIM) and Fellow of the Canadian Securities Institute (FCSI) designations.
Contact Richard: (416) 507-2726 | Assistant: Andrew Houser (416) 507-2717
Rob began his career in securities when he joined Haywood in 2002. After gaining experience in operations and on the retail trade desk he moved into his current role in 2007. He is a licensed trader in equities as well as options and holds the Canadian Investment Manager (CIM) designation. Rob thrives on the challenge that todays changing financial markets present. His goal is to foster long term client relationships built on strong customer service and communication.
Contact Rob: (604) 697-6095
Ron joined Haywood in 2004 and currently serves as the Head of Institutional Equity Trading. Ron started his trading career with Dominion Securities (now RBC) on the historic Toronto Stock Exchange Trading Floor, where he began to develop his trading finesse. He then moved over to First Marathon's (now National Bank) Institutional Trading Team. Ron has built very strong relationships with some of Canada's largest financial institutions and leading hedge funds, on a solid foundation of integrity and trust.
Contact Ron: (416) 507-2756
Ryan is both Canadian and US licensed. His core focus is using his experience, education, and strategic relationships to deliver personalized and pragmatic solutions to each client’s diverse investment needs. Servicing Canadian, US, and international clients, Ryan specializes in client compensation stock option and restricted stock unit exercises. In addition, Ryan works with numerous issuers in the coordination of legend removal from restricted securities for US investors. Ryan communicates with clients on the array of high-quality and unique financing opportunities offered in the marketplace. Moreover, Ryan actively searches attractive venture capital investment opportunities and issuer financings opportunities for the benefit of his clients, while providing growth capital for the underlying issuer.
Ryan completed his Bachelor of Commerce in Finance at the University of British Columbia. In addition, Ryan has passed the CFA Level I Examination. Ryan enjoys playing ultimate frisbee year-round, and enjoys running, skiing and hiking with his dog.
Contact Ryan: (604) 697-7412
Sandra Haycock joined Haywood October 1, 2015. Sandra has more than 30 years in the Financial Industry which started with the Royal Bank in Edmonton after graduating with her Bachelor of Commerce, then several positions across Alberta, and then at the Royal Bank Private Banking in Calgary.
For the last 27 years she has been in the brokerage business beginning with Yorkton Securities Inc, which was then taken over by numerous firms, most recently Macquarie Private Wealth and then Richardson GMP.
She has been involved in numerous Private Placements, JCPs and CPCs, and is fully licensed in both Canada and the United States.
Contact Sandra: (403) 509-1974 | Assistant: Gayle Elliott (403) 509-1923
Sandra joined Haywood Securities in 2010. She has amassed over 25 years of trading experience working with some of the most successful brokers in the business. Sandra maintains an active and growing book of clients and continually works on upgrading her skillset and knowledge base of the ever-changing securities business. Sandra is known for her professionalism, business knowledge and engaging personality, and enjoys long and successful working relationships with her clients and colleagues.
Contact Sandra: (604) 697-7113
Stephanie joined Haywood in 2003 as an Investment Advisor and Equity Trader. Prior to moving to Haywood she spent over 10 years with two local brokerage firms as both a licensed IA and Equity Trader. Stephanie is known for her professionalism and client loyalty, offering each client an individualized commitment to detail on their personal investment needs. As an active Trader, Stephanie provides precise and timely trade execution within all Canadian and US marketplaces.
Stephanie currently sits as co-chair of the YWCA Women of Distinction Awards Nomination Committee.
Contact Stephanie: (604) 697-7425
Steve joined Haywood Securities Inc. in 2010, with 14 years of investment firm experience in both trading and as an investment advisor in equities, fixed income and subsequently in derivatives. Steve holds a diploma in Financial Management from BCIT, has the CFA designation and is the options principle for Haywood Securities Inc. He has extensive experience in derivative risk control and, complex option & fixed income strategy implementation. More recently, Steve has been developing fixed income retirement solutions for client under an asset liability management (ALM) framework. Steve has been a Registered Representative with Haywood Securities (USA) Inc. since 2011.
Contact Stephen: (604) 697-7151
Stephen Meyer started in the investment business in 1992 at Scotia McLeod and joined Haywood in 1996. He currently serves as Head of Trading and as an Institutional Sales Trader. Stephen holds a Graduate degree in Economics from UBC and has spent many years teaching at the Sauder School of Business.
To contact Stephen: (604) 697-7418
Steve's been a licensed Investment Advisor since 1983 and with Haywood for 26 years.
He specializes in working with Canadian and US private companies to bring them to the public market. He has helped finance companies in a variety of sectors including technology, biotech and resource.
Steve is Options licensed in Canada and licensed as a Registered Representative in the US.
Contact Steve: (604) 697-7152 | Assistant: Neil Gray (604) 697-7153
Thomas began his career with Haywood in 1999 as Vice President & Investment Advisor. Today, as a registered Portfolio Manager, Thomas offers customized portfolio solutions on a discretionary managed basis and focuses on identifying attractive investment opportunities for his retail clients.
Contact Thomas: (604) 697-7403
With over 25 years of experience as an Investment Advisor with Haywood Securities Inc. and Registered Representative with Haywood Securities (USA) Inc., Tom has a diverse clientele across Canada, the USA, and abroad.
Tom has been instrumental in raising capital for numerous issuers operating within the resource and industrial sectors, amassing considerable expertise with initial and secondary public offerings, through which he has developed a deep understanding of industry trends and a nuanced eye to identify market opportunities.
Further demonstrating his leadership acumen, Tom obtained his FSCI designation in 1992, the highest credential offered by the Canadian Securities Institute, and has been a member of the Board of Directors of Haywood Securities Inc. since 2015.
Contact Tom: (604) 697-7156 | Assistant: Dalena Blaeser (604) 697-7136
Tim joined Haywood in 2009 and recently celebrated his 33rd anniversary in the industry as an investment advisor. Tim's focus is in the natural resource sector; financing and accumulating positions in junior and mid-cap companies. Tim graduated from UBC in 1985 with his Bachelor of Arts.
Contact Tim: (604) 697-6039 | Rowena Everett: (604) 697-6031
Tim graduated from Tufts University in Boston, Massachusetts with a Bachelors in Economics. He worked in New York City for over 8 years in the financial service industry, first at Knight Trading Group as a Financial Analyst, then at Lehman Brothers as a Senior Liability Trader on their small cap equity desk. As a Haywood Securities Inc. Investment Advisor and Haywood Securities (USA) Inc. Registered Representative, Tim is responsible for managing new and existing west coast institutional relationships both in the US and Canada with a particular focus in Vancouver, California and Texas.
Contact Tim: (604) 697-7446
Tom joined Haywood in 2010 with more than a decade of capital market experience. He believes in building meaningful relationships with his clients built upon respect, trust, communication and exceptional customer service. He creates customized strategic risk and portfolio management solutions for clients and provides companies assistance with equity financing and advisory services.Tom is an Associate Portfolio Manager with a Chartered Investment Manager (CIM) designation and a certified Equities and Options Trader. Tom and his team are fluent in English, French and Cantonese.
Contact Tom: (604) 697-6190 | Associate: Erica Tso (604) 697-7168
Tony Migliarese is the Branch Manager of Haywood's Calgary office and is credited with the development and growth of Calgary's retail sales team. Tony joined Haywood in February 2003, where he continued to build its already strong client base. He has been successful in taking many start-up companies to the public market. Prior to joining Haywood, Tony worked at Raymond James and its predecessor companies for nine years.
Contact Tony: (403) 509-1968 | Assistant: Allison Rivas (403) 509-1944 | View Tony's Website