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
Aegis Capital, LLC
Latest filing Mar 26, 2012
First filing on the tape Dec 22, 2011 · 4 filings
RAUM
$2.8M
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$2.8M as of Mar 26, 2012
Dec 22, 2011$165M then
HNW client RAUM: no history
State-registered IARs (5.B.3): no history
Employees (5.A): no history
Private funds: no history
Practice profile
derived from the filing of Mar 26, 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
- $25,225derivedRAUM 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
- unknownderived3 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 assetsreportedItem 5.E
- Advisory activities
- portfolio management for individuals, portfolio management for businesses and institutions, selection of other advisersreportedItem 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
- 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)
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
- 111reported
- Financial planning clients
- 0reported
- Wrap fee programs
- noreported
- Custody of client assets
- noreported
- Compensation
- % of AUMreported
- 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
- Stephen Douglas Norton to Capital Guardian Wealth Management, LLCMar 27, 2012 · Other
- Karen Lee Zaramba to Charter Oak Capital ManagementDec 22, 2011 · Other
- Paul Scott Taylor to Capital Investment Advisors, IncAug 19, 2011 · Other
- Joseph Weston Norton to Msi Financial Services, Inc.Mar 2, 2010 · Other
- Joseph Weston Norton to Tca Financial Group, LLCDec 31, 2008 · Other
- Stephen Douglas Norton to Sunamerica Securities, Inc.Feb 1, 2005 · Other
- Christopher R Bice to Sunamerica Securities, Inc.Feb 1, 2005 · Other
- Richard Daren Johnson to Sunamerica Securities, Inc.Jan 21, 2005 · Other
- Stephen Edward Repak to Sunamerica Securities, Inc.Jan 21, 2005 · Other
Joined, latest
- Karen Lee Zaramba from Commonwealth Financial NetworkNov 4, 2009 · Other
- Joseph Weston Norton from Tca Financial Group, LLCJan 27, 2009 · Other
- Stephen Douglas Norton from Sagepoint Financial, Inc.Oct 4, 2006 · Other
- Stephen Douglas Norton from Woodbury Financial Services, Inc.Aug 12, 2004 · Other
- Christopher R Bice from UBS Financial Services Inc.Jan 16, 2004 · Other
Private funds
No private fund reported.
Owners and control persons
Schedule A and B, latest filing
- Robin John Lakian · Directorcontrolsince 10/2009 · owns 75% or more
- Wilson Diane Lamm · Chief Operating Officercontrolsince 10/2009 · owns less than 5%
- Tomlinson Peter Roe · Chief Compliance Officercontrolsince 03/2012 · owns less than 5%
Related persons
Schedule D 7.A
Offices
Schedule D 1.F, the 25 largest
- Kings Mountain, NC
- Portsmouth, NH
What changed
consecutive filings, newest first
- Accounts · 1,540 to 111Dec 22, 2011 to Mar 22, 2012
- Insurance-licensed employees · unset to 1.0Dec 22, 2011 to Mar 22, 2012
- Discretionary RAUM · $165M to $2.8MDec 22, 2011 to Mar 22, 2012
- RAUM · $165M to $2.8MDec 22, 2011 to Mar 22, 2012
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