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Management Team

Ray Stovall

rstovall@directcapitalsecurities.com   |  512.684.8800 direct

As President and Director of Operations, Mr. Stovall oversees the implementation and management of Direct Capital Securities' compliance program. He is responsible for assuring that the company is operating with integrity and in compliance with applicable legal requirements.


With over 25 years experience in the industry, Mr. Stovall brings deep insight on successfully integrating the strict requirements of compliance with the day-to-day operational needs of a large, customer-centric financial services organization. His experience ranges from executive management and control, compliance and risk management, operations, sales, and sales management.


Prior to joining Direct Capital Securities, Mr. Stovall served as Chief Operating Officer and Chief Compliance Officer for a FINRA member firm in Dallas, Texas. Mr. Stovall has also served as President of a broker dealer and was President and owner of a third party compliance consulting company.



     
      


TEAM MEMBERS

Click the names below to access team member bio's.

Clay Womack
CEO

Ray Stovall
President

Markel D. Petty
Chief Operating Officer

Craig McClain
Vice President & Due Diligence Officer


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Securities offered through Direct Capital Securities, Inc. Member FINRA/SIPC.
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