Stira Capital Markets Group

Formed in 2009 to offer real estate-related investment offerings through the retail broker-dealer and institutional channels.

Wholesaler Team, Four Corners

Robert Dolman

Regional Vice President

Robert Dolman is the Stira Capital Markets Group's (SCMG) regional vice president of the Four Corners Region. He manages SCMG’s sales efforts, supports registered reps and advisors, and cultivates SCMG’s broker-dealer channel throughout Arizona, New Mexico, Colorado, Utah, Wyoming and Southern Nevada.

With over 15 years of financial services industry experience, Rob has provided investment and retirement planning expertise to advisors and their clients, helping them establish financially sound futures. He has held multiple positions in the financial services industry, including over 12 years as a regional sales vice president at MetLife, and most recently as a regional vice president at Sammons Retirement Solutions. Rob graduated from West Virginia University, holds his FINRA Series 7, 6 and 63 and earned his RICP designation through The American College. He enjoys cycling and trying to remain a superhero in his children’s eyes.

Licenses: Series 7, Series 6, Series 63

Mobile: (602)-617-1763

Tyler Thompson

Associate Vice President

Tyler is the dedicated associate vice president for the Four Corners and Northwest regions. Prior to joining SCMG, Tyler worked at Vistamont Realty Management, an operating company with three private equity funds with assets in residential properties and mortgages in excess of $35 million. While at Vistamont, Tyler was responsible for spearheading new market expansion efforts and managing the firm's Alabama portfolio, participating in all aspects of the asset lifecycle from acquisition through to disposition.

Tyler graduated from the University of Southern California, with a Bachelor of Science in Biokinesiology. His 9 years of experience in Private Equity & Asset Management, Real Estate, Sales, Marketing, and Entrepreneurial Ventures give him a unique perspective of the Financial Services Industry.

Licenses: FINRA Series 7

Office: (949) 333-1779