At Integrity Capital, you’re not just working with a single advisor or portfolio manager. You’re working with a team of experienced professionals who all share a single mission: doing what’s right to help you reach your most important goals.
Jim is a Senior Financial Advisor with Integrity Capital, a series of Lang Advisors. He has been in the Securities Industry since 2003 where, prior to taking on his current role, he held a position of Financial Consultant with the Bank of Kentucky.
Jim graduated from Holmes High School in 1997 and from Centre College in 2001 with bachelors' degrees in both psychology and religion. In addition to holding several securities and insurance licenses, he is also Certified Financial PlannerTM.
Jim is a Covington, KY native and is committed to giving back to his community. He sits on the board of Covington Partners and was previously involved with New Perceptions in Northern Kentucky. He has a passion for hunting, education, and coaching soccer. Jim and his wife, Abby, reside in Florence, KY with their two children William and Gwenyth
Kevin’s role as a Senior Financial Advisor is to help clients meet their long-term goals through prudent and strategic investment planning. Kevin is responsible for constructing and developing investment strategies that help clients maximize their investments and reach long-term goals. He also handles the relationship management role and is responsible for the day to day management and ongoing communication with clients.
Kevin's previously worked for Optimized Transitions, a Registered Investment Advisory firm where he held a dual role as an Investment Strategist and a Relationship Manager. He spent 12 years as Vice President Senior Wealth Management Investment Advisor at US Bank. Kevin is experienced in account performance analysis, investor relations, market research, alternative investments, financial planning and networking. Previous to his role at US Bank, Kevin spent 7 years at Wachovia Bank as a Vice President Investment Advisor. Kevin started his career at the Chicago Stock Exchange where he spent 14 years working as a Floor Broker and an Equity Specialist. He was responsible for order execution and market making in his various roles over his years at the Exchange.
Kevin graduated from Xavier University with a Bachelor of Science in Business Administration. Kevin is on the following Boards where he offers his insight and guidance: St. Joseph Orphanage, Sarah House, Xavier University Executive Board of Advisors for the Williams College of Business. Kevin is married to Martha and they have two children, Fiona and Michael.
Tyler has over ten years of experience in the financial services industry. He has served as a Portfolio Manager and research analyst for various financial service companies, both large and small. Most recently he worked in the private client group of a large bank serving high net worth and ultra-high net worth individuals and families as well as foundations, institutions, and endowments.
Tyler grew up in Southern California and earned bachelor's degrees in Economics and Public Policy Analysis as well as German from Duke University. He holds the Chartered Financial analyst (CFA) and Chartered Market Technician (CMT) designations.
He is active in the community as a member of the Big Brothers Big Sisters organization and of the Goering Center for Family and Private Businesses. Tyler is married to his wife, Lori, and they have five young children. Tyler's hobbies include martial arts, reading, cooking and taking interesting MOOC courses.
Tom Ritter is the Director of Compliance for Lang Advisors, LLC, an Investment Adviser registered with the SEC. Tom reports directly to Owner and Chief Compliance Officer Tyler Lang.
Tom is a thirty-year veteran of the financial services industry. His experience includes meaningful time spent as a Compliance Director as well as financial advisor, mutual fund analyst, financial planning analyst, and compliance examiner.
Tom joined Lang in February 2019 after relocating back from the Kansas City area to his home town of Cincinnati, Ohio. As Director of Compliance for Lang, Tom is assuming most all compliance related duties and functions as part of the firm’s efforts to maintain firm compliance with financial securities laws including the Investment Advisers Act of 1940. Tom will serve as the primary liaison to the firm’s outside counsel and any compliance consultant as well as various regulatory entities.
The National Society of Compliance Professionals has awarded Tom the Certified Securities Compliance Professional (CSCP®) designation.
Laura maintains and oversees the HR needs of the firm as well as helps facilitate the day-to-day operations of Lang Advisors.
Laura has worked in HR industry for the last 10 years. Before joining the Integrity Capital team, she spent two years at Vantiv Inc. and another eight years at Citigroup where she worked as both an HR Specialist and Executive Assistant.
Laura enjoys playing softball, boating and spending time with her family. Laura and her husband, Brian, have two young children, Jameson and Jemma.
Leah has a blended role between marketing, administrative support, and client services.
Leah has over 10 years of experience in the banking and HR industry. Before joining the Integrity Capital team, she spent 5 years working at Fifth Third Bank as a Personal Banker and HR Specialist. After that, she worked as a Recruiter for Malone Solutions.
Leah was born and raised in Cincinnati, OH and currently lives in Union, KY with her family. When she is not at work, she enjoys spending time with her husband Matt and triplets Mason, Ava and Layla.