8150 North Central Expressway, Suite 500
Dallas, TX 75206 (Directions)
(214) 265-1201 (877) 959-8400

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Executive Officers  [Close]

Executive Officer Profiles
Chief Executive Officer - Tony Batman

President, Chief Operating Officer - David Knoch

Executive Vice President - Lynne Mabry

Executive Vice President, Chief Compliance Officer - Mike Pagano

Vice President, Chief Marketing Officer - Brian Finnigan

Vice President, Business Management Services - Al Prentice

Vice President, Chief Financial Officer - Paul Stewart


David Knoch, CIMA®

President, Chief Operating Officer

1st Global's president and chief operating officer David Knoch is responsible for the leadership of all sales support functions as well as operational processing. David is charged with the development, design and execution of all new and ongoing services for 1st Global's three main business entities: 1st Global Advisors Inc., a federally registered investment adviser; 1st Global Capital Corp., a FINRA-registered broker/dealer; and 1st Global Insurance Services, Inc., an insurance general agency.

David's role as president gives him the strategic perspective to coordinate and drive all 1st Global wealth management initiatives through our professional staff. David's daily charge is that all 1st Global strategies and resources are timely, coordinated and focused on delivering world-class wealth management capabilities to the specially selected firms that affiliate with us. Whether those capabilities come from Wealth Management Services, 1st Global Capital Markets or Operations, our firms can be confident that David's commitment to excellence, innovation and success is unwavering.

David maintains active, professional memberships in the Financial Services Institute (FSI), Investment Adviser Association, Money Management Institute and Investment Management Consultants Association. He serves as the vice chair of FSI's Marketing & Investment Advisory Council and is a member of the Money Management Institute's Sponsor Council. David is also a part of the Investment Management Consultants Association's Performance Reporting Standards Task Force.

David graduated from the University of Massachusetts, Amherst and is a Certified Investment Management Analyst (CIMA®) professional. He is a registered representative who holds FINRA Series 7, 24, 53 and 66 licenses.

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CIMA®, Certified Investment Management Analyst (with graph element)®, and Certified Investment Management Analyst are registered certification marks of the Investment Management Consultants Association, Inc. in the United States, Canada, European Union, and Australia.

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