John F. Calvano
Chief Compliance Officer, StoneX Advisors Inc.
John Calvano serves as Chief Compliance Officer of StoneX Advisors Inc., an SEC registered investment advisor affiliated with StoneX Wealth Management. He joined StoneX Wealth in 2006 (under Sterne Agee) and served as the Chief Operating Officer of Sterne Agee’s trust company. Mr. Calvano began his financial services career in 1984 working with Bear Sterns in New York. He later worked with a regional bank as brokerage operations manager and mutual fund products manager. In the 1990’s Mr. Calvano has worked as a marketing director and product manager for several mutual fund companies. In 1999 he began work with a regional bank leading their proprietary mutual fund complex and serving as president and CEO of the fund family. John lives in Birmingham with his wife of 29 years, four children and two grandchildren. He currently holds Series 7, 24, 63 licenses.
Our market expertise, advanced platforms, global reach, culture of full transparency and commitment to our clients’ success all set us apart in the financial marketplace.
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Globality
With access to 40+ derivatives exchanges, 180+ foreign exchange markets, nearly every global securities marketplace and numerous bi-lateral liquidity venues, StoneX’s digital network and deep relationships can take clients anywhere they want to go.
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Transparency
As a publicly traded company meeting the highest standards of regulatory compliance in the markets we serve; our financials and record of accomplishment are matters of public record. StoneX’s commitment to “doing the right thing over the easy thing” sets us apart in the industry and helps us build respect, client trust and new partnerships.
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Expertise
From our proprietary Market Intelligence platform, to “boots on the ground” expertise from award-winning traders and professionals, we connect our clients directly to actionable insights they can use to make more informed decisions and achieve their goals in the global markets.
The information on this web site is not an offer to sell or a solicitation of an offer to buy any security, nor shall any such security be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase, or sale may not lawfully be made. Wealth management services are offered through StoneX Wealth Management, a trade name used by StoneX Securities Inc., StoneX Advisors Inc. and Trust Advisory Group, Ltd. Securities products are offered through StoneX Securities Inc., member FINRA/SIPC. Investment advisory services are offered through StoneX Advisors Inc. and Trust Advisory Group, Ltd. Trust Advisory Group, Ltd. is a wholly owned subsidiary of StoneX Advisors Inc. StoneX Securities Inc. and StoneX Advisors Inc. are wholly owned subsidiaries of StoneX Group Inc. (NASDAQ: SNEX). StoneX Group Inc., through its subsidiaries, connects clients them with institutional-grade market access, end-to-end clearing and execution, and high-touch expertise.
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All investments involve risk, including loss of principal. Past performance of any security, option, or strategy is not indicative of future success. Consider your personal financial situation, including your risk tolerance, before investing. StoneX Wealth Management does not provide tax advice.
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