Press Release

Nov 8, 2017

Janney Opens Branch Office in Baltimore’s Federal Hill Neighborhood

PHILADELPHIA, PA – November 8, 2017 – Janney Montgomery Scott (“Janney”), a leading full-service wealth management, financial services, and investment banking firm, announced the opening of its new Federal Hill, MD branch office. Moving into the Federal Hill office are the team of Chris Goles and Kate DeHart, and the team of Sandra Stoll, Marvin Snyder, Burton Daniel, and Laura Davis, all formerly of the Firm’s Quarry Lake office.

“We're excited to open our Federal Hill branch, which is our first office in downtown Baltimore and shows the expansion of our presence in Maryland.” said Tom Simcik, Mid-Atlantic Regional Manager at Janney. “Chris is a lifelong resident of the Baltimore area and is an active member in the community. His dedication to his clients and deep understanding of the industry have positioned him well for this leadership role at Janney. We look forward to an exciting future for Janney in downtown Baltimore.”

Federal Hill represents the fourth new location opened by Janney this year, following Franklin, TN, Goldsboro, NC and Miami, FL.

“We’re excited to be in such a great, new location and to be in downtown Baltimore. This space will allow our team to become engrained in the community, as we are just steps away from the Baltimore Inner Harbor and many of our city’s stadiums,” said Chris Goles, Federal Hill Branch Office Manager.

Janney’s Federal Hill office address is 145 W. Ostend Street, S. Baltimore, MD 21230.

About Janney Montgomery Scott
Janney provides advice to individual, corporate, and institutional clients. Our expertise includes guidance about asset management, corporate and public finance, equity, and fixed income investing, equity research, institutional equity and fixed income sales and trading, investment strategy, financial planning, mergers and acquisitions, public and private capital raising, portfolio management, retirement and income planning, and wealth management. Janney is an independently-operated subsidiary of The Penn Mutual Life Insurance Company and is a member of the Financial Industry Regulatory Authority (FINRA) and Securities Investor Protection Corporation (SIPC). Additional company information is available at

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