Equity Services, Inc.
Gregory Teese has over 30 years of work experience in the financial industry. Gregory began their career in 1989 as the Chief Compliance Officer and Senior Vice President of Compliance at Equity Services, Inc. Gregory held this role for nearly 30 years until April 2019 when they became the Senior Vice President of Operations at the same company.
In 2016, Teese joined Sentinel Asset Management, Inc. as the Chief Compliance Officer, a role they held until March 2021.
Throughout their career, Teese has also worked at National Life Group as the Chief Compliance Officer for National Life Separate Accounts from 1989 to January 2021. Gregory also served as the Chief Compliance Officer at Sentinel Financial Services Company from 1993 to October 2017.
Gregory Teese completed their Bachelor of Science degree in Business Administration, with a focus on Finance, from the University of Vermont Grossman School of Business. Gregory attended the institution from 1985 to 1989.
Equity Services, Inc.
Since its founding in 1968, Equity Services, Inc. (ESI) has been committed to making investing as successful as possible for clients while also recognizing that today's investing environment is one of constantly increasing complexity. ESI's products and services are designed to form the critical foundation required to implement sophisticated planning and investing strategies which take advantage of today's opportunities while seeking to manage risk. As a member of National Life Group®, ESI is part of a diversified family of financial services companies providing investment professionals a comprehensive portfolio of financial products and services. ESI is a Broker-Dealer and Registered Investment Adviser affiliate of National Life Insurance Company – a diversified financial services company with roots going back to 1848. Since that time, the affiliates of National Life have adhered to guiding principles of quality and integrity - elements essential to its corporate character today. Securities and investment advisory services are offered solely by Equity Services, Inc., Member FINRA (www.FINRA.org)/SIPC (www.SIPC.org), Broker/Dealer and Registered Investment Adviser, One National Life Drive, Montpelier, Vermont, 05604, 802-229-3900. National Life Group is a trade name representing various affiliates, which offer a variety of financial service products. Each company of National Life Group is solely responsible for its own financial condition and contractual obligations. TC66814(0915)