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John Boylan

John C. Boylan

Chief Compliance Officer

John C. Boylan is Valentine Capital Asset Management’s Chief Compliance Officer. John brings more than 30 years experience in many facets of the investment world.

Before joining Valentine, John was head of compliance at Milestone Financial Services and Van Kasper & Company.  In more than 20 years at Merrill Lynch, John held management positions in branch operations, administration and technology. John was also Merrill Lynch’s floor manager at the Chicago Board of Trade where he was responsible for all facets of Merrill’s futures trading at the exchange.  The contracts traded included the 30 year bond, Ginnie Mae futures, silver, corn, wheat, oats, and the soybean complex. While John was floor manager, Merrill had the leading order flow on the Chicago Board of Trade, which was the world’s largest futures exchange at the time.  Furthermore, John has been a registered representative at Dean Witter and Wells Fargo.

Advisory services offered through Valentine Capital Asset Management, Inc, an SEC Registered Investment Advisory Firm.

Series 4, 7, 24, 31, 63 and 65 licensed. Registered Representative in CA.

 

 

Valentine Capital Asset Managment