Barrington Capital Management
Financial Services, 3800 American BLVD W Ste 1500, Bloomington, Minnesota, 55431, United States, 1-10 Employees
Who is BARRINGTON CAPITAL MANAGEMENT
Barrington Capital Management, Inc. is a privately owned investment advisory and consulting firm based in Minneapolis, Minnesota. Since 1988, we have been a trusted name in the investment...
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- Headquarters: 3800 American BLVD W Ste 1500, Bloomington, Minnesota, 55431, United States
- Date Founded: 1988
- Employees: 1-10
- Revenue: Under $1 Million
- Active Tech Stack: See technologies
Industry: Financial Services
SIC Code: 6211 | NAICS Code: 523930 | Show More
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Frequently Asked Questions Regarding Barrington Capital Management
Answer: Barrington Capital Management's headquarters are located at 3800 American BLVD W Ste 1500, Bloomington, Minnesota, 55431, United States
Answer: Barrington Capital Management's official website is https://barringtoncap.com
Answer: Barrington Capital Management's revenue is Under $1 Million
Answer: Barrington Capital Management's SIC: 6211
Answer: Barrington Capital Management's NAICS: 523930
Answer: Barrington Capital Management has 1-10 employees
Answer: Barrington Capital Management is in Financial Services
Answer: Barrington Capital Management contact info: Phone number: Website: https://barringtoncap.com
Answer: Barrington Capital Management, Inc. is a privately owned investment advisory and consulting firm based in Minneapolis, Minnesota. Since 1988, we have been a trusted name in the investment management industry. We provide two essential services for our individual and corporate clients: comprehensive investment management and litigation support services. We are an independent Registered Investment Adviser (RIA) and not a broker-dealer or part of a larger organization. This independence allows us to provide unbiased advice to our clients and has been the cornerstone of our mission statement since 1988. We take pride in our reputation of conducting all aspects of our business with integrity and transparency while providing our clients with concierge-level service and communication. By adopting the fiduciary duty as our guiding "standard of care," we are required to place the best interest of our clients first and provide full disclosure of all associated costs, risks, and potential conflicts of interest. Our Securities Litigation Consulting expertise lies in analyzing compliance manuals, correspondence, exchange rules, industry norms, and internal policies that may have been violated. We understand the ethical issues that frequently arise in a case and we will identify specific rules, laws, and regulations from Federal, State, and SROs where violations may have occurred. Areas of Expertise: Securities Fraud Investigation FINRA & SEC Regulations Breach of Fiduciary Duty Supervision Requirements Misrepresentations & Omissions Investor Suitability Options, Stocks, & Bonds FINRA Arbitration Litigation Consulting Unbiased Case Analysis Discovery Review & Recommendations Portfolio Risk Reports High-Impact Demonstrative Exhibits Damage Calculations Expert Testimony
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