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Management Team

The principals of MGI Securities are experienced investment experts who have an established track record in the Canadian financial services industry. They are supported by a team of professionals who are committed to meeting the expectations of clients by providing them with customized solutions that meet their unique needs.


Mark L. Arthur - Vice Chairman
Mark joined MGI Securities as CEO in August 2004. His career includes eight years with RBC Dominion Securities where he held positions as Vice President and Director, as well as Vice Chairman of the Investment Strategy Committee. From 1989 to 2000 Mark was President, and Chief Investment Officer (CIO) for Royal Bank Investment Management Inc. Up until 2002, Mark was President, CIO and Director of RBC Global Investment Management Inc., Vice President Investments and Director of Royal Mutual Funds and Chairman of RBC Investments Global Investment Strategy Committee.


Don McFarlane - Vice Chairman
Don began his investment career with A.E. Ames and Company in 1980, which merged into Dominion Securities in 1982 and later became RBC Dominion Securities. During his 14 years at RBC, Don rose to the position of Senior Vice President, served as a member of the Chairman's Council for 11 years and sat on the Investment Advisor Council. Don left RBC in 1996 to join Gordon Private Client Corporation, a subsidiary of Gordon Capital Corporation, where he was Managing Director. When the firm was acquired by HSBC Securities Canada, Don remained at the newly amalgamated company until he co-founded McFarlane Gordon Inc. (now MGI Securities).


Scott Norris - Chief Compliance Officer
Scott joined MGI Securities (formerly McFarlane Gordon Inc., ‘MGI’) as Vice President Operations in January 2003 and was responsible for setting up the MGI trading floor and offices in London, Winnipeg, Montreal and Calgary. In 2005, Scott became the Chief Compliance Officer of MGI. Prior to MGI, Scott worked as the Operations Manager of Standard Securities for approximately nine years.


Crawford Gordon - Managing Director - Retail
Crawford began his career at Wood Gundy in 1966. After 4 years he joined Burns Fry (now BMO Nesbitt Burns). During his 29 years with the firm he became one of their top brokers, a Vice-President and Director and a 10 year member of the Chairman’s Council. In addition, he opened and established the company’s London England and New York offices. In 1997, Mr. Gordon joined Gordon Private Client Corporation, which was acquired by HSBC. In 1999, he co-founded McFarlane Gordon Inc. (now MGI Securities).

 
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