Associated Securities Corp. (Boston)


Associated Securities Corp. is a pension cosultant based in Boston. It has been registered with the SEC as an adviser since 2001 and has operated in the jurisdictions of Alabama, Alaska, Arizona, and 47 other states.

Associated Securities Corp provides pension consulting services. It doesn't provide financial planning services to its clients. On top of advisory services, the firm doesn't engage in other business activities.


Fees & Commissions

The advisory firm has several streams of revenue. Clients pay Associated Securities Corp. for their services and products based on a percentage of assets under management and commissions. Compensation based on assets under management promotes a long-term relationship between a client and the adviser and helps align mutual interests. These fees don’t include brokerage commissions, interest, taxes, and other account expenses.

Careers at Associated Securities Corp.

Neal Edwin Nakagiri has been acting as President since 1 Feb 2000. Kathleen Denise Vannoy Pineda joined the executive team most recently as the Chief Compliance Officer.

Direct owners and executive officers



Name Entity Date acquired Ownership Employer ID
Inc. Associated Financial Group Holding company 1 Jun 1984 Other 95-3936729
William Paul Barnard Vp/insurance 1 Aug 1984 Other 12742
Randal Roy Carson Sr vp/trading 1 Apr 1987 Other 872114
Murli Dayaram Sujanani Sr vp/investment research 1 Dec 1990 Other 1339455
John Roy Lindsey Treasurer/cfo 1 Jun 1998 Other 1323663
Maxie Lee Robinson Vp/compliance 1 Nov 1998 Other 2243994
Neal Edwin Nakagiri President/ceo/general counsel 1 Feb 2000 Other 722534
Elgonde Magdalena Scheffy Chief operating officer 1 Apr 2000 Other 1009038
Patricia Lee Gerwick Vp/regional director 1 May 2000 Other 735600
Mark Alan Vandegrift Vp/regional director 1 Jul 2000 Other 1549478
Mary Catherine Galvan Vp/operations 1 Sep 2000 Other 2520134
Denise Marie Evans Vp/compliance 1 Jul 2001 Other 4441308
Gifford John Hurley Ceo/president 1 Jan 2005 Other 1171989
Fay Earl Fisher Svp/chief administrative officer 1 Mar 2005 Other 4434689
Maureen Melodee Maloney Chief compliance officer 1 Jul 2005 Other 4375865
Kim A Richardson Svp/chief marketing officer 1 Jul 2005 Other 2206243
Sean Peter Mcgaughey Svp, operations 1 Jul 2005 Other 1196117
Fay Earl Fisher Chief executive officer 1 Dec 2006 Other 4434689
Scott Nathan Brody Chief compliance officer 1 Jun 2007 Other 2890610
Esther Marion Stearns Director 1 Jun 2007 Other 1088948
Stephanie Leigh Brown Director 1 Jun 2007 Other 1973369
William Edward Iii Dwyer Director 1 Jun 2007 Other 1274680
John Lincoln Dixon Chief executive officer/director 1 Jul 2007 Other 68827
John Michael Mcgivney Chief compliance officer 1 Nov 2007 Other 1001787
John Andrew Kalbaugh Chief executive officer 1 Jun 2008 Other 1821773
David Clifford Sr. Becker Chief financial officer/treasurer 1 Jun 2008 Other 4635972
Kari Schepman Turigliatto Svp, general counsel 1 Jul 2008 Other 2725276
Allison Lee Couch President 1 Nov 2008 Other 2149574
Scott Nathan Brody Svp, chief compliance officer 1 Feb 2009 Other 2890610
Phillip Buhay Valtairo Vice president and cfo, affiliated broker-dealer controller 1 Mar 2009 Other 4481362
James Hugh Wallace Controller 1 Mar 2009 Other 4234081
Kathleen Denise Vannoy Pineda Chief compliance officer 1 Sep 2009 Other 1347526

Indirect Owners

The SEC currently registers 17 indirect owners.

Name Entity Date acquired Ownership Employer ID
Inc. Pacific Mutual Distributors Parent of holding company 1 Jul 1997 75% - 100% 4452
Inc. Pacific Select Distributors Parent of holding company 1 Jul 1997 75% - 100% 4452
Pacific Mutual Holding Company Holding company 1 Sep 1997 75% - 100% 33-0769202
Pacific Life Corp. Holding 1 Sep 1997 75% - 100% 33-0769203
Llc Pacific Select Group Parent of holding company 1 Dec 2005 75% - 100% 95-3793471
Pacific Life Insurance Co Holding company 1 Dec 2005 75% - 100% 105169
Inc. Lpl Investment Holdings Principal stockholder 1 Dec 2005 75% - 100% 20-0347947
David Nmi Bonderman Stockholder 1 Dec 2005 25% - 50% xxx-xx-xxxx
James George Coulter Stockholder 1 Dec 2005 25% - 50% xxx-xx-xxxx
L.P. Hellman & Friedman Capital Partners V Stockholder 1 Dec 2005 25% - 50% 01-0818596
Llc Hellman & Friedman Investors V General partner 1 Dec 2005 75% - 100% 01-0818590
William Stanley Iii Price Stockholder 1 Dec 2005 25% - 50% xxx-xx-xxxx
Inc. Tpg Advisors Iv General partner 1 Dec 2005 Other 20-0348083
Iv L.P. Tpg Genpar General partner 1 Dec 2005 Other 20-0347947
L.P. Tpg Partners Iv Stockholder 1 Dec 2005 25% - 50% 20-0347894
Llc Lpl Independent Advisor Services Group Parent company 1 Jun 2007 75% - 100% 04-3296987
Inc. Lpl Holdings Managing member 1 Jun 2007 75% - 100% 04-3046611

Based in Boston

The principal office where Associated Securities Corp. performs its advisory services is located at One Beacon Street, Boston, MA 02108, which is also the mailing address of the firm. It doesn’t run an office outside of the United States.

You can reach the main office by calling the phone number 617-423-3644 or by fax 617-556-2811. The normal business hours are 8:30 am - 6:00 pm on Monday - Friday.