VISION INVESTMENT ADVISORS, LLC

VISION INVESTMENT ADVISORS, LLC of STAMFORD, CT is an SEC-registered investment adviser (CRD 109621). Regulatory assets under management: $137.4M. This firm reports disciplinary history on Form ADV.

Registration

Business model

Compensation: % of AUM, Fixed, Performance, Commissions.

Clients served: High net worth, Pooled vehicles, Charities.

Officers, owners & control persons (18)

NameRoleLocation
King GeorgeCHIEF COMPLIANCE OFFICER; SENIOR VICE PRESIDENTNew York, NY
Howard Martin RothmanMANAGER, CEO, AND OWNER
Gayle Hannah RothmanMANAGER OF H. ROTHMAN FAMILY LLC
Robert Martin BoshnackMANAGER OF BOSHNACK FAMILY LLC
Shirley Barbara SiegelOWNER
Joan Harriet HankoOWNER
John Michael KarafaAML COMPLIANCE OFFICER; CHIEF COMPLIANCE OFFICER
ROTHMAN HOWARD MARTINMANAGER, CEO, ACTING CCO AND OWNER; MANAGER, CEO AND OWNER; MANAGER, CEO, AND OWNER
SIEGEL SHIRLEY BARBARAOWNER
HANKO JOAN HARRIETOWNER
ROTHMAN GAYLE HANNAHMANAGER OF H. ROTHMAN FAMILY LLC
BOSHNACK ROBERT MARTINDIRECTOR; MANAGER OF BOSHNACK FAMILY LLC; PRINCIPAL
STEIN DAVID SETHAML COMPLIANCE OFFICER, GENERAL COUNSEL; CHIEF LEGAL OFFICER
SILVER STEVEN MITCHELLCHIEF MARKETING OFFICER, CHIEF COMPLIANCE OFFICER; CHIEF MARKETING OFFICER, CHIEF COMPLIANCE OFFICER, CHIEF OPERATING OFFICER; CHIEF MARKETING OFFICER, CHIEF OPERATING OFFICER (+2 more)
ACHZET DAVID EDWARDCHIEF COMPLIANCE OFFICER
Bova VictoriaGENERAL COUNSEL/AML COMPLIANCE OFFICER
KARAFA JOHN MICHAELAML COMPLIANCE OFFICER; CHIEF COMPLIANCE OFFICER; CHIEF COMPLIANCE OFFICER AND AML COMPLIANCE OFFICER
Lurie KeithGENERAL COUNSEL

Disclosures (42)

InitiatedTypeAllegationsStatusAmount
2025-07-15regulatoryDURING ALL RELEVANT PERIODS HEREIN, THE FOLLOWING LAWS AND RULES WERE IN FULL FORCE AND EFFECT: EXCHANGE RULES 5.1 - WRITTEN PROCEDURES, 16.1 - DEFINITIONS (AS FURTHER DESCRIBED IN SR-BATS-2011-041 ), 18.1 - ADHERENCE TO LAW, 18.2 - CONDUCT AND COMPLIANCE WITH THE RULES, 20. 7 - AUDIT TRAIL, AND 24.…Final$63K
2025-07-15regulatoryDURING ALL RELEVANT PERIODS HEREIN, THE FOLLOWING LAWS AND RULES WERE IN FULL FORCE AND EFFECT: EXCHANGE RULES 5.1 -WRITTEN PROCEDURES, 16.1 -DEFINITIONS (AS FURTHER DESCRIBED IN SR-BATS-2011-041 ), 18.1 -ADHERENCE TO LAW, 18.2 -CONDUCT AND COMPLIANCE WITH THE RULES, 20.7 -AUDIT TRAIL, AND 24.1 -MAI…Final$11K
regulatory
regulatoryNFA: 13-BCC-018 SETTLEMENT: RESTITUTION, FINE, AND VOLUNTARY FCM REGISTRATION WITHDRAWAL. CHANGE SUPERVISORS DUE TO FAILURE TO SUPERVISE .
regulatory14-0029 AND 14-0119 SRO (CHICAGO BOARD OPTION EXCHANGE) MONETARY/FINE AND CENSURE : UNDERTAKING TO ENHANCE RISK CONTROLS AND PROCEDURES RELATING TO DIRECT MARKET ACCESS.
regulatoryFINRA DOCKET 2010021330501 TRACE VIOLATION FINE $22,500
regulatoryCFTC 13-36 CEASE AND DESIST VIOLATING REGULATION 166.3, 17 C.F.R § 166.3 (2013): PAY CIVIL MONETARY PENALTY $140,000
regulatoryCFTC 13-39 CEASE AND DESIST FROM VIOLATING SECTION 4D(A)(2) OF 7 U.S.C. § 6 6D(A)(2), 17 C.F.R. §§ 1.10(D)(1)(V) AND (VI), 1.12(H), 1.20 AND 1.26. CIVIL MONETARY PENALTY $525,000.
regulatoryCFTC 13-36 CEASE AND DESIST VIOLATING REGULATION 166.3, 17 C.F.R ? 166.3 (2013): PAY CIVIL MONETARY PENALTY $140,000
regulatoryCFTC 13-39 CEASE AND DESIST FROM VIOLATING SECTION 4D(A)(2) OF 7 U.S.C. ? 6 6D(A)(2), 17 C.F.R. ?? 1.10(D)(1)(V) AND (VI), 1.12(H), 1.20 AND 1.26. CIVIL MONETARY PENALTY $525,000.

Branch offices (4)

CityStateEmployeesPhone
17868375616
NEW YORKNY12128590290
LAGUNA BEACHCA12033882678
FALLSBROOKCA19496332856

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