Who we are

We’re committed to serving the Israel Small and MidCap market with various registered and non-registered services.

.

The I3 Team

Mark Goodman,

Chairman

Mark has over 25 years in public markets. Most recently, he was President of Dundee Corporation, a TSX listed public mining merchant bank.

He serves on several public company boards and holds executive positions in a variety of public and private companies.

Oded Orgil, LLB

CEO & President

With over 30 years of capital markets experience in Canadian bank owned and independent firms.

He has held senior leadership positions at HSBC Canada, Canaccord Genuity and Manulife Securities.

As CEO of Gravitas Securities, Oded oversaw the firm’s expansion to key locations in the USA and Canada

He has served as President of the Canada Israel Chamber of Commerce and was a member of the Israeli National Hockey team.

Blair Carey, CFA

Managing Director

Blair has over 20 years of capital markets experience and 15 years building and running private small businesses.

As publishing analyst, he covered over 80 companies in 10 different industries and is a sought after expert in equity valuation of private companies and intellectual property.

Based in our Israel office, Blair leads our Israel domiciled efforts and works with both Issuers and Investors to help them operate in the US and Canada capital markets.

Jeff Maser

Jeff Maser, MBA

Institutional Sales & IR

Jeff has over 25 years in Canada’s capital markets as an Institutional Equity Sales, Investor Relations and Corporate Development.

As the CEO of a public company he was frustrated by the state of investor relations and founded MarketMind Technologies to help counter these challenges. He leverages this experience to help our public company clients drive investor interest.

Jeff has a variety of UHNW, Family Office and Institutional investment managers that consider him a trusted advisor.

In Canada, registered services are provided by FMI Securities Inc., a national registered Exempt Market Dealer

In the United States, registered services are provided by FM Global Markets Inc., a registered FINRA Broker-Dealer

Compliance is managed by FMI Capital Partners Inc. www.fmicap.com

Compliance & Securities Licensing

Contact us

Interested in working together? Fill out some info and we will be in touch shortly. We can’t wait to hear from you!