Don DeBartolo
Broker | Institutional Futures Client Management Group
Don DeBartolo is a Series 3 licensed broker registered with the National Futures Association (NFA). Don’s career in the industry began as an arbitrage clerk in the S&P 500 futures pit at the Chicago Mercantile Exchange (CME). Taking his floor trading execution expertise and the ability to navigate a fast-paced environment, he transitioned to the brokerage side of the business. Since 2005, he has been a broker with Daniels Trading, a relationship-based firm in the heart of the financial district in Chicago. His responsibilities as a broker include providing trade execution, market analysis, and money management to his clients all over the world. Pulling from his vast experience and proficiency in the futures and commodity options markets, Don is able to offer his clients timely insight, specialized trade recommendations, and educational information through his various writings and videos. In 2010, he developed a formal trade advisory for clients seeking specific trade recommendations and subsequent risk management.
© 2022 StoneX Group Inc. All Rights Reserved. |
Privacy Policy | StoneX.com
The StoneX Group Inc. group of companies provides financial services worldwide through its subsidiaries, including physical commodities, securities, exchange-traded and over-the-counter derivatives, risk management, global payments and foreign exchange products in accordance with applicable law in the jurisdictions where services are provided. References to over-the-counter (“OTC”) products or swaps are made on behalf of StoneX Markets LLC (“SXM”), a member of the National Futures Association (“NFA”) and provisionally registered with the U.S. Commodity Futures Trading Commission (“CFTC”) as a swap dealer. SXM’s products are designed only for individuals or firms who qualify under CFTC rules as an ‘Eligible Contract Participant’ (“ECP”) and who have been accepted as customers of SXM. StoneX Financial Inc. (“SFI”) is a member of FINRA/NFA/SIPC and registered with the MSRB. SFI is registered with the U.S. Securities and Exchange Commission (“SEC”) as a Broker-Dealer and with the CFTC as a Futures Commission Merchant and Commodity Trading Adviser. References to securities trading are made on behalf of the BD Division of SFI and are intended only for an audience of institutional clients as defined by FINRA Rule 4512(c). References to exchange-traded futures and options are made on behalf of the FCM Division of SFI. StoneX is a trading name of StoneX Financial Ltd. StoneX Financial Ltd is registered in England and Wales, Company No. 5616586, authorized and regulated by the Financial Conduct Authority [FRN 446717].
Trading swaps and over-the-counter derivatives, exchange-traded derivatives and options and securities involves substantial risk and is not suitable for all investors. The information herein is not a recommendation to trade nor investment research or an offer to buy or sell any derivative or security. It does not take into account your particular investment objectives, financial situation or needs and does not create a binding obligation on any of the StoneX group of companies to enter into any transaction with you. You are advised to perform an independent investigation of any transaction to determine whether any transaction is suitable for you. No part of this material may be copied, photocopied or duplicated in any form by any means or redistributed without the prior written consent of StoneX Group Inc.