Galvin Legal, PLLC is launching an investigation on behalf of investors who may have suffered losses investing with Country Capital Management Company. If you suffered losses investing with Country Capital Management Company, then Galvin Legal, PLLC may be able to help you recover your losses in a Financial Industry Regulatory Authority (“FINRA“) arbitration claim.
Country Capital Management Company (CRD# 12060) (SEC# 8-12645)
As of April 4, 2020, Country Capital Management Company’s FINRA BrokerCheck Report contains the following:
Main Office Location
1705 TOWANDA AVENUE
BLOOMINGTON, IL 61701
P.O. BOX 2222
BLOOMINGTON, IL 61702-2222
Business Telephone Number
Direct Owners and Executive Officers
COUNTRY LIFE INSURANCE COMPANY, SHAREHOLDER
DARMSTAEDTER, GEOFFREY FREDERICK (CRD#:5709185), CHIEF COMPLIANCE OFFICER & ANTI-MONEY LAUNDERING COMPLIANCE OFFICER
DODDS, ALAN KEITH (CRD#:5660784), VICE PRESIDENT – FINANCE & TREASURER
DUNCAN, BRIAN KEITH (CRD#:6904912), VICE PRESIDENT OF THE BOARD & DIRECTOR
FLETCHER, JEREMIAH DEAN (CRD#:6970583), CHIEF INFORMATION SECURITY OFFICER
GREEN, DENNIS WAYNE (CRD#:6904908), DIRECTOR
GUEBERT, RICHARD LOUIS JR., CHAIRMAN OF THE BOARD & DIRECTOR
KILCOIN, MILES THORNE (CRD#:4927719), EXECUTIVE VICE PRESIDENT, CHIEF FINANCIAL OFFICER & PRINCIPAL FINANCIAL OFFICER
MEISS, DAVID LEE (CRD#:6904884), DIRECTOR
MYERS, JOEL LEE (CRD#:6096934), VICE PRESIDENT & CORPORATE CONTROLLER
SCHUTZ, CHAD KENNETH (CRD#:6904905), DIRECTOR
STILWELL, CHARLES BRYAN (CRD#:2184109), CHIEF EXECUTIVE OFFICER, PRINCIPAL OPERATIONS OFFICER & FINRA EXECUTIVE REPRESENTATIVE
VANCE, JENNIFER LYNN (CRD#:7040592), GENERAL COUNSEL, SECRETARY & CHIEF LEGAL OFFICER
FINRA requires brokerage firms to conduct due diligence on investments and to conduct a suitability analysis when recommending securities to a customer that takes into account the customer’s knowledge and experience. Brokerage firms that fail to conduct adequate due diligence or that make unsuitable recommendations can be held responsible for the customer’s losses in a FINRA arbitration claim.
This information is all publicly available and is being provided to you by Galvin Legal, PLLC.
Galvin Legal, PLLC is a national securities arbitration, securities mediation, securities litigation, securities fraud, securities regulation and compliance, and investor protection law practice. For more information on Galvin Legal, PLLC and its representation of investors, please visit www.galvinlegal.com or call 1-800-405-5117.