Timothy B. Murphy is a founder of Investors Capital Holdings and serves as Chief Financial Officer and Executive Vice President. Mr. Murphy has also served as President of Investors Capital Corporation since August 1994 and President of Investors Capital Advisory since January 1995 both of which are subsidiaries of Investors Capital Holdings.
Mr. Murphy entered the securities industry in May 1991 as an Operation Manager assisting brokers in the Boston regional office of Clayton Securities. From February through August 1994 he was a Compliance Officer of Baybanks Brokerage in Burlington Mass. and a Vice President at G.R. Stuart & Company a brokerage firm located in Maynard Mass.
Mr. Murphy earned a B.S. in Finance from Babson College. He holds various securities licenses including Series 4 7 24 27 53 63 and 65. Mr. Murphy is a member of the New England Securities Compliance Group and a past member of the National Society of Compliance Professionals. |