NexGen Capital Investors

phone 312.845.9055

Vision, Commitment, Integrity, Teamwork and Experience

Team

Professional Team

Matthew A. Fowler

Financial and Operational Principal

425.361.0058
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Responsibilities

Matthew A. Fowler is a Financial and Operational Principal (FINOP) for NexGen Capital Advisors, LLC and is responsible for overseeing the financial activities of the broker/dealer.

Experience

Mr. Fowler has six years of investment, corporate finance and Securities and Exchange Commission (SEC) accounting experience.  In his career, he has held leadership roles and has raised approximately $25 million of institutional capital for private equity investments, invested in numerous private equity transactions and drafted and finalized SEC and Toronto Stock Exchange (TSX) documents for publicly listed companies.  He also serves as Senior Consultant with Sharp Executive Associates, Inc., an international financial consultancy assisting private, SEC and TSX listed public companies with their accounting and regulatory compliance needs.  Prior to joining Sharp Executive Associates, Inc., Mr. Fowler served as a partner, Chief Financial Officer and Chief Compliance Officer at Strata Partners, LLC, a boutique investment bank based in Seattle, Washington where he was responsible for capital raising as well as all financial, operational and compliance requirements with the Financial Industry Regulatory Authority.  Before joining Strata Partners, LLC, Mr. Fowler previously held the position of Analyst and Chief Financial Officer at Octavius Capital Management, LLC, a registered investment adviser based in Seattle, Washington serving high net worth individuals.  He was responsible for analyzing existing equity positions as well as selecting new positions for portfolio manager recommendations and trade reconciliations.

Education

Mr. Fowler received an AB degree in economics and a certificate in accounting from the University of Washington.

Certifications

Mr. Fowler is Series 24, 28, 7 and 63 licensed.

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All securities are offered through NexGen Capital Advisors, LLC, a broker/dealer and member of FINRA and SIPC, operating under the Securities Act of 1933.  NexGen Capital Investors, LLC is registered as an investment adviser operating under the Investment Advisers Act of 1940 and under the regulations and rules promulgated by the State of Illinois.

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