• Skip to primary navigation
  • Skip to content
  • Skip to footer

Hunter Associates

Independant Wealth Management

Main navigation

  • Partner With Us
    • Our Approach
    • Investment Solutions
    • Advice & Consulting Solutions
  • Hunter Investment Process
  • Hunter Heritage
    • About Us
    • Ideas That Move Us Forward
  • Our People
  • Insights
  • Contact
  • Client Access

Dan Scarpitti, AIF®

INVESTMENT ADVISOR

330.318.8228

Dan joined Hunter Associates in 2012. He holds a bachelor’s degree in business administration with a concentration in management from the University of Mount Union. Additionally, Dan attained the Accredited Investment Fiduciary™ designation awarded by The Center for Fiduciary Studies.

Dan is deeply involved with and committed to various local community foundations. He is a member of the Sebring-West Branch Area Community Foundation’s Board of Trustees and the Scholarship Committee. He also serves as a board member of the Salem Area Chamber of Commerce Foundation and is a member of the Community Advisory Panel for the Salem Regional Medical Center Foundation.

In addition to his work with community foundations, Dan volunteers for his church and various community programs and events. A former basketball player, he also enjoys participating in local area leagues whenever possible.

Return to Our People

 

Accredited Investment Fiduciary™: The AIF® credential is awarded by The Center for Fiduciary Studies. To attain the AIF® credential the candidate must meet a point-based threshold based on a combination of education, relevant industry experience and/or professional development. Candidates complete a course that prepares participants to conduct fiduciary assessments on a plan or firms’ conformance to legal and regulatory obligations associated with the fiduciary standard and professional best practices. Additionally, individuals must pass a final certification examination.

 

BROKER CHECK

We Encourage you to use FINRA’s Free Online Tool to Review Financial Industry Professionals.

Click the button below to access FINRA’s BrokerCheck. FINRA regulates the people and the firms that sell stocks, bonds, mutual funds and other securities. Enter the name of a broker to review important information about them including experience, certifications, licenses, disclosures and other regulatory history.

FINRA’s Broker Check

Become a Client >

Footer

Disclosures

Opportunities

Contact Us

This site is published in the United States for U.S. residents only. The information on this website is not an offer to sell or a solicitation of an offer to buy any security, not shall any such security be offered or sold to any person in any jurisdiction in which such offer, solicitation, purchase or sale may not lawfully be made. References to Hunter Associates may apply to Hunter Associates Investment Management LLC. Member FINRA & SIPC.


Copyright © 2019 · Hunter Associates