Paul J. McIntyre, AIF® is the Managing Director of Naples Asset Management Company®, LLC (“NAMCOA®”). NAMCOA is a SEC registered investment adviser, specializing in portfolio management, retirement plans and consulting services. Mr. McIntyre also serves as the Chief Compliance Officer of MSC-BD, LLC, a FINRA member broker specializing in real estate private placements and securities.
Paul McIntyre began his real estate career in 1975. He entered the securities industry with Merrill Lynch in 1980 where he began working with real estate securities. Since then, he has been actively involved in the securities industry throughout the United States working with FINRA member Broker Dealers on due diligence, securities syndication, private investment offerings and their distribution.
Mr. McIntyre holds several FINRA (Financial Regulatory Authority) securities licenses. FINRA was formerly known as the NASD, (National Association Securities Association). His securities licenses include the Series 7, 63, 65, 79, 99 and 24.
He also holds both a Florida and Georgia Real Estate license and several financial industry designations, including the Accredited Investment Fiduciary® (AIF®).
In Georgia, he is associated with Coldwell Banker Commercial – Metro Brokers, the largest real estate brokerage firm in the state. Metro Brokers is independently owned and operated.