H. Keith Brunnemer, III

Chief Executive Officer and CCO

After gaining a fundamental understanding of markets in an equity trading role, Keith Brunnemer joined First Tryon Securities, LLC in 1998 as a fixed income trading assistant. He was promoted to manager of the trading and sales team in 2003, helping to expand the firm’s reach to cover a more diverse customer base and greater breadth of products.

In 2009, Keith was named Chief Executive Officer of First Tryon Securities and helped to found First Tryon Advisors in an effort to diversify the organizations interests. In addition to being tasked with various management responsibilities for both businesses, he continues to actively trade a wide range of securities with a concentration in bank/finance paper, floating rate, and structured products.

Keith earned a Bachelor of Arts in Economics from Davidson College. He is FINRA registered with First Tryon Securities, LLC, where he holds his General Securities Representative License (Series 7), Uniform Securities Agent License (Series 63), General Principals License (Series 24) and Municipal Securities Principal license (Series 53).

After gaining a fundamental understanding of markets in an equity trading role, Keith Brunnemer joined First Tryon Securities, LLC in 1998 as a fixed income trading assistant. He was promoted to manager of the trading and sales team in 2003, helping to expand the firm’s reach to cover a more diverse customer base and greater breadth of products.

In 2009, Keith was named Chief Executive Officer of First Tryon Securities and helped to found First Tryon Advisors in an effort to diversify the organizations interests. In addition to being tasked with various management responsibilities for both businesses, he continues to actively trade a wide range of securities with a concentration in bank/finance paper, floating rate, and structured products.

Keith earned a Bachelor of Arts in Economics from Davidson College. He is FINRA registered with First Tryon Securities, LLC, where he holds his General Securities Representative License (Series 7), Uniform Securities Agent License (Series 63), General Principals License (Series 24) and Municipal Securities Principal license (Series 53).