Richard K. Bryant – President & Founder

Richard is also a co-founder of the Capital Investment Companies and has served as an executive officer and principal of the companies since 1984. He has been in the financial services industry since 1982. Richard graduated from NC State with a BA in Business Management.

Ryan A. Mumy, CFP®, AIF® – Chief Investment officer

Ryan is the Chief Investment Officer of Capital Investment Advisory Services. He oversees the sub-advisory program at CIAS and co-manages the program’s portfolios. He has been with the firm since 2009 and involved in the securities industry since 2001. Ryan graduated from Lenoir-Rhyne College where he played baseball.

Tess Ramby – Compliance Officer

Tess Ramby assists in the Compliance Department and is responsible for Investment Advisory Representative (IAR) support. She has been with the firm since 2008 while also in the financial services industry since 1987. Tess maintains her General Securities License and General Securities Principal License.

Justin Greenhill – risk analyst

Justin is a research and risk analyst at CIAS. He also serves as co-portfolio manager for the sub-advisory program. Prior to joining CIAS, Justin worked as an institutional derivative trader & research analyst in Singapore. In addition Justin has lived and worked in Brazil, China, and southern California. Justin holds degrees in both Economics and Political Science from the University of North Carolina at Charlotte. He also attended The National University of Singapore.

Ronald King – Chief Compliance Officer

Ron is the Chief Compliance Officer with the Capital Investment Companies. He has been with the firm since 2007 and in the financial securities industry since 1994. Ron is a graduate of The Southeastern Trust School of Campbell University.