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Paladin Research Report For:

North Capital

CFA®CPA
623 E Fort Union Blvd. Suite 101
Suite 900
Salt Lake City, UT 84047
415-315-9916

About North Capital

North Capital is a leading provider of transaction technology and brokerage services for the primary issuance of exempt securities, and we are driving the evolution of clearing, custody and secondary markets through innovation using distributed ledger technology (blockchain).

We create and deliver services, utilizing our proprietary API functions and investor platforms, through our SEC-registered broker dealer, North Capital Private Securities Corporation. Since 2017, we have been involved in developing open source smart contract technology and the tokenized securities market, with the conviction that blockchain technology will transform private markets.

Our Registered Investment Advisor, North Capital Inc. was founded in 2008. The firm's founder, Jim Dowd, started the firm after spending 20+ years as an Institutional Asset Manager, with the goal of bringing institutional-grade advice to retail clients. North Capital Inc is headquartered in Salt Lake City, UT, with a branch office in Sea Island, GA.

See Disclosures

General Information

Firm Start Year
  • 1926
CRD#
  • 2109413
Firm CRD#
  • 148802
Name of Broker/Dealer
  • North Capital Private Securities Corp.
Name of Custodial Firm
  • Schwab, TD Ameritrade, Interactive Brokers
States Licensed in
  • All states.
Years of Experience in Financial Services
  • 41
Number of Years with Current Firm
  • 18
Work Experience
  • Founder, CEO and Chief Investment Office with with North Capital for 18 years. Previously worked for three international financial institutions as a trader and portfolio manager, in NY, London, Tokyo, Hong Kong and San Francisco from 1985 - 2003.
Work with the following types of clients
  • Individual Investors, Businesses, Businesses
Advisory Services Provided
  • Investment Advice & Management, Financial Planning

Qualifications & Membership

Certifications, Accreditations & Designations
  • CFA®, CPA
Securities Licenses
  • Series 7, I maintain brokerage licenses but do not charge or receive commissions on advisory business., Series 65, Series 63, Series 24

Firm Information

Advisor's Number of Clients
  • 265
Advisor's Number of Managed Clients
  • >250
Total Assets Under Management by Advisor
  • $370000000

Compensation and Fees

Fee Structure
  • Fee-Only
Minimum Portfolio Size for New Managed Accounts
  • $50,000
Compensation Methods
  • Hourly, Based on Assets, Flat Fee

Education

BSFS - Intl Economics Finance & Commerce -

Georgetown University
-