The Company was founded on September 23, 1963 by Antone G. Quintal (1922-1994) and registered with the NASD and SEC as Antone G. Quintal Investment Company. Mr.Quintal was previously a division manager for a mutual fund company and found it difficult to suit the diverse needs of his clients with investments that were limited to the mutual funds provided by his employer. The founding principle of the firm was to provide personalized brokerage and investment services to it’s client’s that were independent and free from the conflicts of interest present when controlled by a parent company or an investment banking firm. Our focus has always been to provide the highest level of service and individualized attention required to both help and educate our clients during the investment process.
In 1989, Antone G. Quintal retired from the active management and the firm was Incorporated as A.G. Quintal Investment Company, Inc. Mr. Quintal’s children Mark A. Quintal and Joyce B. White joined the firm and currently own and run it.
Mark A. Quintal graduated magna cum laude from Boston College with a Bachelor of Science degree and has been employed by the firm since 1985 and became President of the firm with it’s incorporation in 1989. He is co-owner and CEO. His responsibilities include meeting with clients, investment research and strategy, portfolio management, trading and regulatory reporting.
FINRA Registrations • FINRA Series 7 General Securities Representative • FINRA Series 24 General Securities Principal • FINRA Series 27 Financial and Operations Principal • FINRA Series 55 Registered Equity Trader • FINRA Series 52 Municipal Securities Representative • FINRA Series 4 Registered Options Principal • FINRA Series 63 Uniform State Exam
Joyce B. White, a graduate of Bristol Community College joined the firm in 1989 and is currently Vice President, Secretary and co-owner. Her responsibilities include opening accounts, customer service and inquiries, regulatory recordkeeping, investment sales and placing trades.
FINRA Registrations • FINRA Series 7 General Securities Representative • FINRA Series 24 General Securities Principal • FINRA Series 63 Uniform State Exam.
PROFESSIONAL PORTFOLIO MANAGEMENT Honesty • Integrity • Experience • Trust