About Our Firm
Royal Securities Company is a full-service broker-dealer dedicated to providing superior service and quality advice to individuals, fiduciaries and institutional investors. With corporate experience since 1936, the Company has established itself as a traditional investment boutique whose representatives combine their knowledge and experience to provide a comprehensive and sophisticated level of investment counsel to our clients.
Royal Securities Company is a member of the Securities Investor Protection Corporation (SIPC) and the Financial Industry Regulatory Authority (FINRA). All client accounts are held by our correspondent RBC Capital Markets, LLC, an affiliate of Royal Bank of Canada, one of the largest banks in the world. RBC 's excess of SIPC protection is provided by Lloyd’s of London, the world’s leading insurance market. The policy provides an additional $99.5 million per client of coverage for securities above that offered by SIPC. This includes protection for cash of up to $900,000 over the $100,000 provided by SIPC. The aggregate coverage limit of the Lloyd’s policy is $400 million. Through this relationship, our customers benefit not only from the resources of Royal Securities Company, but also from RBC Capital Markets’ outstanding clearing, safekeeping, and account maintenance services. Our firm’s unique blend of retail and institutional research enables us to provide innovative equity and fixed-income solutions. A full range of products include Government and agency securities, corporate bonds, ETFs, mutual funds, stocks, options, and annuities. Moreover, our equity and fixed income trading departments utilize a nationwide dealer network with access to the full spectrum of products and markets. With both a broker-dealer and SEC registered advisory firm (Royal Advisors,LLC), we have the ability to offer the flexibility and service you are looking for. We at Royal Securities stand ready to assist you in meeting your financial goals. Your representative will help you outline your financial situation, your risk profile, and investment objectives, and together design a plan to build toward your goals. The current officers and managers of the firm are: William C. Kapteyn, Jr. - President
Marvin Andringa - Sr. Vice President - Investments
David Moelker- Sr. Vice President Investments, Secretary
John Worst - Sr. Vice President - Investments
Timothy DuMez - Chief Operating Officer
Ruth Ann Newenhouse - AML Officer
Mendy Reed - Chief Compliance Officer
Our Register Brokers and Support Staff by Location:
Grandville Branch:
Consultants
Lester DeJong - Senior Vice President - Investments
Kenneth VanderMolen - Senior Vice President - Investments
Terry Huyser - Senior Vice President - Investments
Christopher Oisten - Sr. Vice President - Investments
Kurt Faasse - Vice President - Investments
Tom Oakes - Vice President - Investments
David Zondervan - Financial Consultant
Frank VanderHoff - Financial Consultant
Aaron Oudbier - Financial Consultant
Jacob Tuinstra - Financial Consultant
Phil Veenstra - Financial Consultant
Dan Kalsbeek - Financial Consultant
Gina Bosetti - Financial Consultant
Norm Woltjer - Financial Consultant
Mark Barber - Financial Consultant Support Staff
Megan Brower - Staff Accountant/Analyst
Mary Taylor - Administrative
Amy Huizinga - Administrative / Sales assistant
Julie Dykstra - Sales Assistant
Lois Scharphorn - Sales Assistant
Jane Dykstra - Sales Assistant
Jules Haveman - Registered Sales Assistant
Pam Miller - Sales Assistant
Eunice Pearce - Sales Assistant
Grand Rapids Branch:
Consultants
Paul Gabriel - Branch Manager / Director of investments
Gregory Dodgson - Vice President Investments / Position Trader
Larry Andreano - Financial Consultant
Jamison Worst - Financial Consultant
Marvin Dice - Financial Consultant
Cornelius Boerkoel - Financial Consultant
Robert Boerkoel - Financial Consultant
Cheryl DeYoung - Financial Consultant
Les Horwitz - Portfolio Manager
Doug Warsen - Financial Consultant
Terry Denmark - Financial Consultant
Diane Harbeck - Financial Consultant Support Staff
Brenda Sawyer - Operations
Chris Hock - Administrative
Holland Branch: Consultants
Paul Kuiper- Financial Consultant
Deb VanderJagt- Financial Consultant
John W. De Leeuw, Financial Consultant Support Staff
Monica Serrell - Sales Assistant
Aris Knitter - Registered Sales Assistant/Client Services
A. Green Financial Group, Inc.:
(click on name above to view website) Consultants
Allen M. Green, Registered Principal
Donald E. Teboe, Financial Consultant
Michael A. Lasagna, Financial Consultant
William L. Wright, Financial Consultant
Angela L. Barbash, Financial Consultant
Kelly Massey - Office Manager
Rochester Branch: Consultant:
Ed Hernandez Support Staff:
Maria Hustek
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