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FAS CORP.
AFAS CORP., TFAS CORP., NYFAS CORP., MFAS CORP., FFAS CORP.…
CRD#: 43536/SEC#: 8-50307
B
Brokerage Firm Regulated by FINRA (Kansas City district office)
MAIN ADDRESS
4747 WEST 135TH STREET, SUITE 100
LEAWOOD, KS 66224 UNITED STATES
General Information
Main Office Location 4747 WEST 135TH STREET, SUITE 100
LEAWOOD, KS 66224 UNITED STATES
Mailing Address 4747 W 135 STREET, SUITE 100
LEAWOOD, KS 66224 UNITED STATES
Phone913-239-2300
Established inKansas since 06/18/1997
TypeCorporation
Fiscal Year End December
Direct Owners and Executive Officers
NamePosition
BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013 STOCKHOLDER
JAMES G. DUSSOLD REVOCABLE TRUST DATED MAY 21, 1996 STOCKHOLDER
JOHN THOMAS MEIER REVOCABLE TRUST DATED NOVEMBER 11, 2015 STOCKHOLDER
AMEY, KEVIN PATRICK FISHER (CRD#: 5611985) STOCKHOLDER
MICHELLE HORTON LIVING TRUST DATED JUNE 19, 2006 STOCKHOLDER
O'GRADY, JORDAN MICHAEL (CRD#:6091943) STOCKHOLDER
BARNES, ANNA (CRD#:4722952) TRUSTEE AND GRANTOR OF BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013
BARNES, JACOB S (CRD#:6079812) TRUSTEE AND GRANTOR OF BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013
DUSSOLD, JAMES GERARD (CRD#:1380347) PRESIDENT, TREASURER, DIRECTOR, GRANTOR OF THE JAMES G. DUSSOLD REVOCABLE TRUST DATED MAY 21, 1996
GLENN, JACQUELYN ELAYNE (CRD#:2260863) CHIEF COMPLIANCE OFFICER
HORTON, BARNABAS D JR TRUSTEE OF THE MICHELLE HORTON LIVING TRUST DATED JUNE 19, 2006
HORTON, MICHELLE (CRD#: 7092037) TRUSTEE AND GRANTOR OF MICHELLE HORTON LIVING TRUST
KRSTIC, MEGAN ASHLEY AML OFFICER
MEIER, JOHN ALAN (CRD#:2869160) EXECUTIVE VICE PRESIDENT, SECRETARY
MEIER, JOHN T GRANTOR AND STOCKHOLDER OF THE JOHN THOMAS MEIER REVOCABLE TRUST DATED NOVEMBER 11, 2015
BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013
STOCKHOLDER

JAMES G. DUSSOLD REVOCABLE TRUST DATED MAY 21, 1996
STOCKHOLDER

JOHN THOMAS MEIER REVOCABLE TRUST DATED NOVEMBER 11, 2015
STOCKHOLDER

AMEY, KEVIN PATRICK FISHER (CRD#: 5611985)
STOCKHOLDER

MICHELLE HORTON LIVING TRUST DATED JUNE 19, 2006
STOCKHOLDER


TRUSTEE AND GRANTOR OF BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013

TRUSTEE AND GRANTOR OF BARNES FAMILY REVOCABLE TRUST DATED AUGUST 16, 2013

PRESIDENT, TREASURER, DIRECTOR, GRANTOR OF THE JAMES G. DUSSOLD REVOCABLE TRUST DATED MAY 21, 1996


HORTON, BARNABAS D JR
TRUSTEE OF THE MICHELLE HORTON LIVING TRUST DATED JUNE 19, 2006

HORTON, MICHELLE (CRD#: 7092037)
TRUSTEE AND GRANTOR OF MICHELLE HORTON LIVING TRUST

KRSTIC, MEGAN ASHLEY
AML OFFICER

EXECUTIVE VICE PRESIDENT, SECRETARY

MEIER, JOHN T
GRANTOR AND STOCKHOLDER OF THE JOHN THOMAS MEIER REVOCABLE TRUST DATED NOVEMBER 11, 2015

Licenses
42 U.S. States and Territories
B
Alabama

B
Alaska

B
Arizona

B
Arkansas

B
California

B
Colorado

B
Connecticut

B
Delaware

B
District of Columbia

B
Florida

B
Georgia

B
Hawaii

B
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Iowa

B
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B
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B
Maryland

B
Massachusetts

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Michigan

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B
Mississippi

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Missouri

B
Nebraska

B
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B
New Jersey

B
New York

B
North Carolina

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Ohio

B
Oklahoma

B
Oregon

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Pennsylvania

B
Rhode Island

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South Carolina

B
Tennessee

B
Texas

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Utah

B
Vermont

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Virginia

B
Washington

B
West Virginia

B
Wisconsin

Other Registrations
Federal
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FINRA
This firm conducts 3 types of business

This firm is affiliated with financial and investment institutions

This firm does not have referral or financial arrangements with other brokers or dealers
Additional Information

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B
Broker

A brokerage firm, also called a broker-dealer, is in the business of buying and selling securities – stocks, bonds, mutual funds, and certain other investment products – on behalf of its customer (as broker), for its own bank (dealer), or both.
Individuals who work for broker-dealers - the sales personnel are commonly referred to as brokers.

IA
Investment Adviser

An investment adviser is paid for providing advice about securities to clients. In addition, some investment advisers manage investment portfolios and offer financial planning services.
It is common for a financial professional to act as both a broker and an investment adviser. Because of this, we include investment advisers on BrokerCheck, and provide links to the SEC's Investment Adviser Public Disclosure (IAPD) website so you can research further.

PR
Previously Registered

A Previously Registered broker or brokerage firm is not currently licensed to act as a broker (buying and selling securities on behalf of customers) or as an investment adviser (providing advice about securities to clients). They may still be able to offer other investment-related services if properly licensed to do so. Click here to learn more.

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