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logologologologo
  • About CIG
    • Our Story
    • Oversight
  • Services
    • Wealth Management
      • Asset Management
      • Alternative Investments
      • Client Experience
    • Business Advisory
      • Medical Practice Dashboard
      • Client Experience
  • Insights
  • Team
  • Careers
  • Contact
  • About CIG
    • Our Story
    • Oversight
  • Services
    • Wealth Management
      • Asset Management
      • Alternative Investments
      • Client Experience
    • Business Advisory
      • Medical Practice Dashboard
      • Client Experience
  • Insights
  • Team
  • Careers
  • Contact

KENNETH CHAPUT

Head of Operations & Compliance

Kenneth Chaput is Head of Operations & Compliance at CIG Capital Advisors. Kenny has been with CIG since 2013 and has over 25 years of experience in the financial services industry. He oversees the Compliance and Operations areas for the firm.

Prior to his time at CIG, Kenny was a Partner and served as Executive Vice President and Chief Compliance Officer for a regional financial firm where he also headed up the Operations department and acted as the firm’s Financial and Operations Principal (FINOP). Kenny obtained a Bachelor of Science, Managerial Economics and Finance degree from the University of Michigan-Dearborn and also completed  the Certificate in Executive Management program from the University of Notre Dame – Mendoza College of Business. He holds FINRA Series 7, 24, 27, 52, 53, 63, 66, and 99 Licenses. 

Outside of work, he spends his time coaching youth sports, as the Varsity Hockey Coach at Brother Rice High School. He also enjoys spending time with his wife Judy and their four children.

Kenneth Chaput

Head of Operations & Compliance

Operations

PHONE: 248.827.1010

KChaput@CIGCapitalAdvisors.com
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“As an independent firm, we are able to offer a variety of solutions for the benefit of our clients. It’s rewarding to support our team as they deliver the diverse set of solutions that best fit each client’s individual needs and goals.”

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One Towne Square
Suite 1850
Southfield, MI 48076
248.827.1010

Securities Offered Through CIG Securities, Inc., Member FINRA/SIPC.
Investment Advisory Services Available Through CIG Asset Management, Inc., a SEC Registered Investment Adviser.

Insurance Services Provided by CIG Risk Management, Inc.
All Are Wholly Owned Subsidiaries of CIG Capital Advisors, Inc.

"Elevate Your Success" and "Plan to Succeed" are registered trademarks of CIG Capital Advisors. All rights reserved.

 

Please read the Terms of Use and Disclosures.
Click here for CIG Asset Management Form CRS or CIG Securities Form CRS.

Check the background of CIG Securities, Inc. or any of its Investment Professionals on FINRA’S BrokerCheck site at: http://brokercheck.finra.org/

 

© 2022 CIG Capital Advisors, Inc. All rights reserved.

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