DFX Intelligence
RIA Intelligence
Registered investment advisers, the advisors registered through them, the capital they report, the private vehicles they run and the people who own them, as a graph with a filing date behind every number. RAUM is what the adviser filed, a move is two registration dates, and a class is a rule you can read.
Former SEC-registered adviser
Alton Capital Management, Inc.
Latest filing Jun 27, 2012
First filing on the tape Mar 16, 2012 · 4 filings
RAUM
$66.3M
reported, Item 5.F
Discretionary
100%
of RAUM
Private clients
0.0%
$0 individuals and HNW
Advisors
0
registered through the firm on IAPD
RAUM per advisor
n/a
derived; firm RAUM over IAPD count
Employees
n/a
n/a advisory (5.B.1)
Offices
n/a
beyond the principal office
Private funds
0
reported on Schedule D
History
4 filings and snapshots on the tape
RAUM$66.3M as of Jun 27, 2012
Mar 16, 2012$66.3M then
HNW client RAUM: no history
State-registered IARs (5.B.3)0 as of Jun 27, 2012
Mar 16, 20120 then
Employees (5.A): no history
Private funds: no history
RAUM n/a over the last fiscal year
Practice profile
derived from the filing of Jun 27, 2012; every figure names its basis
- RAUM per advisor
- unknownderivedRAUM over IAPD advisors; not a book size
- Clients per advisor
- unknownderivedindividual and HNW clients (5.D) over advisors
- Average HNW client
- unknownderivedHNW RAUM over HNW clients
- Average account
- $403,985derivedRAUM over accounts (5.F.2.f)
- Discretionary
- 100%derivedof RAUM
- Institutional
- 0.0%derivedpensions, charities, corporations, government, insurance, banks, other advisers
- Employees per advisor
- unknownderivedItem 5.A over advisors
- Advisors per office
- unknownderived1 offices incl. principal (1.F.5)
- RAUM growth, one year
- unknownderivedbetween the last two annual amendments
- Advisor growth, one year
- unknownderivedItem 5.B.3 between annual amendments
- Client growth, one year
- unknownderived
- Compensation
- percentage of assets, hourly, fixed feesreportedItem 5.E
- Advisory activities
- financial planning, portfolio management for individualsreportedItem 5.G
- Ownership
- no PE, bank or public-company owner found on Schedule Aderived
- Advisor book size
- not public; not estimatedreported
Also answered yes on Form ADV
- is a broker-dealer (6.A.1)
- is an insurance broker or agent (6.A.6)
- buys or sells securities as principal to or from clients (8.A.2)
- has discretionary authority over which securities are bought or sold (8.C.1)
- receives research or other products from a broker-dealer, soft dollars (8.E)
- compensates persons for client referrals (8.G.1)
- compensates non-employees for client referrals (8.G.2)
Where the RAUM sits
Form ADV Item 5.D, latest filing
This filing has no Item 5.D breakdown (filings before 2017 reported ranges, not amounts).
- Individual clients
- n/areported
- HNW clients
- n/areported
- Pension plan clients
- n/areported
- Charitable clients
- n/areported
- Accounts
- 164reported
- Financial planning clients
- 1-10reported
- Wrap fee programs
- noreported
- Custody of client assets
- noreported
- Compensation
- % of AUM, fixed, hourlyreported
- Class basis
- absent from the latest SEC rosterderived
Advisors registered through the firm
0 on IAPD today, longest tenure first
No representative is registered through this CRD on IAPD.
Advisor movement
Left, latest
- Gregory Howard Bray to Smith Moore & Co.Mar 29, 2016 · Other
- Matt Dale Maberry to B.B. Graham & Company, Inc.Dec 31, 2015 · Other
- Michael Allen Babcock to B.B. Graham & Company, Inc.Nov 25, 2015 · Other
- David Erwin Dooling to Scottrade Investment ManagementDec 21, 2012 · Other
- Gregory Wade Gobble to Moloney Securities Co., Inc.Oct 14, 2011 · Other
- Michael Allen Babcock to MML Investors Services, LLCFeb 2, 2010 · Other
- James Joseph Claywell to Edward JonesJun 7, 2005 · Other
Joined, latest
- Michael Allen Babcock from MML Investors Services, LLCMar 7, 2013 · Other
- Gregory Wade Gobble from Pnc Wealth ManagementJun 15, 2011 · Other
- David Erwin Dooling from Msi Financial Services, Inc.Nov 26, 2007 · Other
Private funds
No private fund reported.
Owners and control persons
Schedule A and B, latest filing
- William Charles Bray · Chief Investment Officer/Principalcontrolsince 12/1995 · owns 10% to 25%
- Howard Gregory Bray · President/Chief Compliance Officer/Principalcontrolsince 10/2002 · owns 10% to 25%
- E John Greenwood · Principalcontrolsince 01/2004 · owns 10% to 25%
- Dale Matt Maberry · Investment Advisor Representative/Principalcontrolsince 01/2004 · owns 10% to 25%
- Robert Dennis Rose · Treasurer/Principalcontrolsince 01/2004 · owns 10% to 25%
- Woodfin William Selby · Principalcontrolsince 01/2004 · owns 10% to 25%
- Frederick Bradley Tiemann · Principalcontrolsince 01/2004 · owns 10% to 25%
Related persons
Schedule D 7.A
No related person reported.
Offices
Schedule D 1.F, the 25 largest
No branch office listed.
What changed
consecutive filings, newest first
One filing, no change to show.
Signals
No event on the tape.
Across DFX
shared identifiers only, never a name match
No identifier-backed link to the venture, private equity, family office or sponsor graphs.
Provenance
- Form ADV
- SEC filing data 2011 to 2024 and the monthly roster 2025 onreportedadviserinfo.sec.gov
- Advisors
- IAPD individual compilation feed, dailyreportedadviserinfo.sec.gov
- Class
- Former SEC-registered adviserderiveda rule over Items 5.D and 7.A
- RAUM per advisor
- n/aderivedfirm RAUM over the IAPD count; not a book size
- Loaded
- Sep 14, 2026