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       May 9, 2008    
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 SEC Rule 605
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NEW YORK, NY

 

Investment Banking John J. Prior, Jr. 
Chief Executive Officer and Head of Investment Banking
212-705-0362

 

Corporate Services

Raymond H. Godfrey
Managing Director

212-705-0426

 

Research Thomas A. Maloney 
Managing Director

 212-705-0366

 
Sales Craig M. Gilkes 
Managing Director, Sales
212-705-0325

Syndicate Rodolfo E. Balseiro 
Managing Director
212-705-0345

Trading John Lazo, Jr.
Managing Director, Head of Trading
212-371-7633

Sales Trading Sean C. Dwyer
Managing Director, Head of Sales Trading

 212-371-7633


Asset Management George A. Needham
Chief Executive Officer, Needham Investment Management L.L.C.
 212-705-0307

  Ellen McKay
Principal, Needham Asset Management
 212-705-0385

Administration/
Accounting

Glen W. Albanese
Managing Director, CFO

 212-705-0301


   
Compliance James M. Abbruzzese
Managing Director, Chief Compliance Officer
212-705-0364

Human Resources Joseph J. Turano
Managing Director, Human Resources
212-705-0314

BOSTON, MA

Investment Banking John J. Prior, Jr. 
Chief Executive Officer and Head of Investment Banking
212-705-0362

Sales John C. Thompson
Managing Director, Sales
 617-457-0900
 
Sales Trading Robert F. McLaughlin, Jr.
Managing Director, Sales Trader
617-457-0923

MENLO PARK, CA

Investment Banking Chad W. Keck 
Vice Chairman, Managing Director
650-561-2222

SAN FRANCISCO, CA

Sales Colleen M. Tremblay
Managing Director, Sales
 415-262-4872
 
Sales Trading   Gary M. Russillo 
Principal, Sales Trader
415-262-4866




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