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Branch Offices
Main Office |
New York City Branch |
Newport Beach Branch
Scottsdale Branch |
Palm Beach Branch |
Los Angeles Branch
386 Park Avenue South
Suite 1604
New York, NY 10016
888-377-EPAC (888-377-3722)
Fax: 212-481-1290
www.europac.net
Neal Scott Branch Manager
Neal Scott began his investment career in 1977. It is at this time that he became acquainted with Irwin Schiff, Peter
Schiff's father, from whom he gained valuable knowledge that he carries with him today. Initially, Neal specialized in
alternate investments for preservation of capital during a time of hyperinflation. His expertise soon expanded into the
bond arena. In 1985 he became principal and manager at Emanuel and Co.; a boutique-type Wall Street firm credited with
helping to bail out New York City during the fiscal crisis of the '70's by their placement of municipal bonds. While at
this firm, Mr. Scott had a weekly radio program discussing the financial markets on WEVD in N.Y.C. He recently was
branch manager and Municipal Bond Principal at Bishop Rosen and Co. inc. where he continued to hone his skills related
to safety and high yielding investments.
After attending Brooklyn College, Mr. Scott became a teacher. He first taught at Midwood High School in Brooklyn until
1974. From 1974 until 1977 he was the Chairman of the Sciences at Soloman Schecter High School in Brooklyn, N.Y., where
he taught physics, and Regents chemistry and biology. Although his experience enables him to understand the global
marketplace, his skills as a teacher continue to benefit the investing public as Mr. Scott is able to convey otherwise
difficult economic concepts into terms that are easy to understand.
Neal holds FINRA series 7, 24, 53, and 63 Licenses.
Andrew Schiff Investment Consultant, Director of Communications
A veteran media and marketing consultant in the financial services industry, Mr. Schiff serves as an integral component
of the communications and media effort at Euro Pacific Capital. Working closely with Peter Schiff for more than five
years, Andrew has helped develop, refine and target Euro Pacific strategic communications for media and clientele and
has been instrumental in raising the firm's public profile. As a result he has gained unique understanding of the firm's
economic outlook and investment strategy.
In his prior career, Andrew had consulted with many multi-billion dollar asset management firms in the development and
execution of media strategy and communications. A holder of Series 7 and 63 licenses, Andrew has recently joined the
firm full time in the New York City offices, where, in addition to his marketing duties, he will be working directly
with clients.
Todd Robertson Investment Consultant
Mr. Robertson graduated from the University at Buffalo School of Management with a B.S in Finance. As a leader of
multiple research teams, he excelled in his knowledge of domestic and international economies and presented his findings
to numerous leaders in the financial industry. Prior to joining Euro Pacific Capital, Todd began his career at a
boutique investment firm in New York specializing in domestic equities. His strong communication skills and unique
instinct for emerging markets make him a valuable asset to our team.
He holds FINRA Series 7 and 63 brokerage licenses.
Steven Savoy Investment Consultant
Mr. Steven Savoy brings more than 15 years of knowledge and experience to the firm. After graduating from The Ohio State University, he began his
career in 1995 as a clerk within the Energy Futures Markets on the floor of the New York Mercantile Exchange. Within a few years, he succeeded in
becoming a Natural Gas Futures Pit Trader for MBF Clearing Corporation. Rounding out Steven’s financial markets background, in 2000 he became an
Equity Trader at Knight Capital Group. After four years at Knight, he was recruited by Citigroup Smith Barney to assist them in creating a
Distressed Equity Trading Department.
Steven’s expertise in trading commodities, particularly in energy futures, as well his work in the equities markets, creates a perfect synergy with
the current global investment philosophy here at Euro Pacific Capital.
Steven Savoy has his series 7, 24, 55, 63 and 66 licenses.
Brian Halpin Investment Consultant
Brian Halpin began his investment career in 1988. He spent 13 years at Deutsche Bank Securities specializing in Corporate, Emerging Markets, and ETF's, primarily with large Hedge Funds and Asset Management firms.
In 2006, he started an international desk from the ground floor up at ING. Brian brings a wealth of knowledge in foreign bond and equity markets to Euro Pacific.
Brian is currently enrolled at Baruch-Zicklin School of Business for a masters degree in Accounting. He holds a FINRA series 7,63, and 55.
David Garramone Investment Consultant
Mr. Garramone brings 6 years of finance experience to Euro Pacific Capital. He began his career in the mortgage industry consulting numerous clients and businesses throughout the NJ area while establishing many relationships with top-tier banking institutions. He then went on further to work at a regional investment firm in NY/NJ, specializing in fixed income securities. It was here that he recognized the growing opportunities that existed internationally to help preserve his client's wealth. Soon after David discovered Euro Pacific Capital and quickly adopted the firm's investment philosophy and strategies. With David's successful track record, passion for finance and strong commitment to his client's well being, he adds to the strong presence at Euro Pacific Capital.
David attended DeVry University where he studied business and communications management and currently holds FINRA Series 7 & 63 licenses.
Jimmy Makoso Investment Consultant
Mr. Makoso brings over 5 years of professional investment experience to Euro Pacific Capital. Prior to Euro Pacific, Mr. Makoso was Vice President of an M&A consulting firm where they specialized in providing advisory services to middle market companies. Prior to this position he maintained various positions within the investment community. Mr. Makoso began his career in investment banking in 2004 as part of the deal team for a boutique investment banking firm. He was later recruited by Fidelity Investments, where he accepted a position with the Retirement Investment Services group and was responsible for managing and advising institutional investment accounts. Mr. Makoso also founded JPM Capital Group, a proprietary trading firm; through partnership with an international trading syndicate, the firm focused its investments in arbitrage strategy including: IPO issuances, preferred issuances, secondary issuances and convertible notes.
Currently, he holds a B.A. in Economics from Stony Brook University with a focus in finance, as well as Series 7 and 63 licenses.
Thomas Cataldo, CFP®, ChFC®, CTA Investment Consultant
Mr. Cataldo began his investment career in January 2000 just months before the dot-com bust in what some may call a trial by fire at Ameriprise Financial Inc (formerly American Express Financial Advisors.) He was able to rise quickly through the ranks to become the manager of the Westchester, NY office as he guided clients through the malaise of investment pitfalls that has characterized the last ten years. Adding to his credentials along the way Mr. Cataldo became first a CFP® (Certified Financial Planner Practitioner®) then a ChFC® (Chartered Financial Consultant®) and a CTA (Commodity Trading Advisor.) Equally at ease in the areas of equities, fixed income, currencies and commodities as well as the six areas of financial planning (cash flow, protection, asset management, tax planning, retirement and estate planning) Mr. Cataldo presents a formidable set of skills that would apply to clients at any stage of life with an understanding and depth of knowledge that only comes after years of working with hundreds of individuals and families.
Mr. Cataldo holds FINRA licenses Series 3, 7 & 63, CFP®, ChFC® and CTA designations and the NYS Life-Accident-Health Insurance Agent License (Long Term Care Authorized.)
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