Management Bios

Craig Decker

Craig Decker
Managing Director — Investment Banking
(646) 845-0761
CDecker@Wolfe-CMA.com

Craig is a Managing Director and Head of Investment Banking at Wolfe Capital Markets and Advisory.

Prior to joining the firm, Craig spent seven years with Morgan Keegan & Company, most recently as Co-Head of the Transportation and Logistics investment banking. Prior to Morgan Keegan, Craig was a Founding Principal and Head of the Transportation & Logistics Group at middle market advisory boutique Legacy Partners Group, LLC where he focused on buy side and sell side advisory work for transport companies. Read more…

 


 

Anton Zitz

Anton Zitz
Vice President — Investment Banking
(646) 845-0762
AZitz@Wolfe-CMA.com

Anton is a Vice President in Investment Banking at Wolfe Capital Markets and Advisory.

Prior to joining Wolfe, Anton worked as a Director in Corporate Development at Wyndham Hotel Group with a particular focus on M&A. Read more…

 


 

Sandra Pallante

Sandra Pallante
Director — Chief Compliance Officer
(646) 845-0706
SPallante@WolfeResearch.com

Sandra Pallante is the Chief Compliance Officer and a Director at Wolfe Research Securities.

Prior to joining the firm, Ms. Pallante was a Managing Director and served as Director of Equity and Fixed Income Research Compliance at Bear Stearns. Read more…

 


 

Disclosure of Order Routing Information
The U.S. Securities and Exchange Commission’s client disclosure rule, SEC Rule 606, requires all broker/dealers that route orders in equity securities to make quarterly reports available that present a general overview of their routing practices. The reports must identify the significant venues to which the client orders were routed for execution during the applicable quarter and disclose the material aspects of the broker/dealer’s relationship with such venues. The most recent such quarterly report for Wolfe Research Securities may be found by accessing the following link: http://vrs.vista-one-solutions.com/reports/1-6/wolf/

Wolfe Capital Markets and Advisory is a registered broker dealer and member of FINRA and SIPC.