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Current Employers
Simplyria Advisor Network

1024 E. Grand River Ave Suite B, Brighton, MI 48116 • United States

Current Registrations

AuthorityCategoryStatusDate
TX RA APPROVED 2026-05-26
NV RA APPROVED 2025-06-11
  • TX RA
    APPROVED
    Since 2026-05-26
  • NV RA
    APPROVED
    Since 2025-06-11

Branch Locations

8020 W. Sahara Ave Suite 160, Las Vegas, NV 89117 • United States

1024 E. Grand River Ave Suite B, Brighton, MI 48116 • United States

Disclosures

No disclosure categories reported as “Yes” on this SEC record.

  • Regulatory action No
  • Criminal No
  • Bankruptcy No
  • Civil judicial No
  • Bond No
  • Judgment / lien No
  • Investigation No
  • Customer complaint No
  • Termination No
Employment History
OrganizationCityStateFromTo
Donald Capital Llc Las Vegas NV 04/2024 12/2024
United States Air Force Las Vegas NV 07/2003 12/2024
Caitlin John, Llc Brighton MI 05/2025 Present
Imagine Financial Group Las Vegas NV 12/2024 Present
Imagine Advisors Llc Las Vegas NV 05/2025 Present
  • 04/2024 → 12/2024
    Donald Capital Llc
    Las Vegas, NV
  • 07/2003 → 12/2024
    United States Air Force
    Las Vegas, NV
  • 05/2025 → Present
    Caitlin John, Llc
    Brighton, MI
  • 12/2024 → Present
    Imagine Financial Group
    Las Vegas, NV
  • 05/2025 → Present
    Imagine Advisors Llc
    Las Vegas, NV
Other Businesses

1. Imagine Advisors LLC; Investment-Related; Las Vegas, NV; Financial services company; Principal Advisor; 05/2025; 160 hrs/mo ; 160 hrs/mo during securities trading hours; Activities may include marketing, client relationship management, business operations, and administrative functions. Investment Advisory Services offered through Caitlin John, LLC (CJ), a SEC Registered Investment Adviser. Imagine Advisors LLC is a separately branded business name used by an Investment Adviser Representative of CJ. CJ and Imagine Advisors LLC are not affiliated legal entities. 2. Imagine Financial Group; Investment-Related; Las Vegas, NV; Insurance Sales and Coverage Advice; Insurance Agent and Compliance Officer; 12/2024; 40 hrs/mo ; 40 hrs/mo during securities trading hours; Solicit insurance clients, provide coverage advice and responsible for bookkeeping and compliance related duties. This includes general ledger maintenance, invoice and expense tracking, and clerical and administrative work on insurance applications.

Exams
CodeExamDate
S65 Uniform Investment Adviser Law Examination 2024-10-30
S63 Uniform Securities Agent State Law Examination 2024-09-20
  • S65 Uniform Investment Adviser Law Examination
    2024-10-30
  • S63 Uniform Securities Agent State Law Examination
    2024-09-20

View on SEC IAPD

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