Chief Compliance Officer- Stoever Glass Wealth Management, Inc.
Roland Stoever founded Stoever Glass Wealth Management, Inc., in 2014.
Prior to joining Stoever Glass & Co., (broker-dealer) in 1991, Mr. Stoever was employed by KVL commodities trading Gold and Crude oil futures on the floor of the New York Mercantile Exchange. Mr. Stoever’s extensive career at Stoever Glass has many roles, beginning as a retail financial consultant and evolving to running the firms proprietary trading operations. In the past 25 years of trading an array of financial products he has gained vast experience into the workings of global financial markets, which he now brings to Stoever Glass Wealth Management Inc. Mr. Stoever is a graduate of New York University’s Leonard Stern School of Business.
Mr. Stoever holds his General Securities (series 7) Equity Trader (series 57) and Registered Investment Advisor (series 65) licenses.