BACKGROUND

Mr. Gifford joined Northland Securities in 2007 as an institutional trader. Prior to joining Northland, he worked at Miller Johnson Steichen Kinnard.

EDUCATION

Brian has his Bachelor of Arts in Financial Economics from Gustavus University.

PROFESSIONAL LICENSES/REGISTRATIONS

Mr. Gifford maintains FINRA SIE Securities Industry Essentials, Series 7 General Securities Representative, Series 24 General Securities Principal, Series 55 Equity Trader, Series 57, Series 63 Uniform Securities Agent registrations and Series 99 Operations Professional.

 

NORTHLAND EQUITY CAPITAL MARKETS  |  NORTHLAND SECURITIES, INC. 

Northland Equity Capital Markets is a division of Northland Securities, Inc., Member FINRA/SIPC, Registered with SEC and MSRB, and is a full-service capital markets group focused on growth companies and their institutional and accredited investors. Its investment banking services include public offerings of equity and convertible securities, PIPEs, CMPOs and registered direct offerings, private placements of equity and debt securities, and M&A advisory services. The research group provides in-depth research for leading small and mid-cap companies in growth sectors of the economy, with sector expertise in Business Services, Consumer, Energy, Healthcare, Industrial Growth, and Technology.  Northland’s institutional sales and trading group provides active market making and trading support in its targeted sectors and coverage companies. 

Registration does not imply a certain level of skill or training.