Robert Frizell is a Managing Director in the Business Development Group of Commerce Street Capital, LLC. Mr. Frizell is focused on working with institutional investors, family offices and high net worth individuals to realize attractive market returns with less risk through alternative investment strategies. Mr. Frizell also works alongside the Commerce Street Corporate Investment Banking team in helping management teams and business owners with their capital and strategic advisory needs.
Mr. Frizell has over 30 years of experience years working as a senior investment banking executive with extensive experience in serving institutional investors, family offices, management teams, business owners and high net worth individuals with their capital market, investment banking, investment advisory and valuation needs. Prior to his current position with Commerce Street, Mr. Frizell had his own firm, Frizell Capital, where he provided strategic and capital market consulting services to companies as well as select wealth management services to high net worth individuals. Prior to that, Mr. Frizell was a Director at Citi in Institutional Equities and was a Managing Director at Collins Stewart, now Canaccord Genuity. Previously Mr. Frizell was a Director at Credit Suisse in the Institutional Equities division where he was a branch manager for the Dallas office. He was also a Vice President at Donaldson, Lufkin & Jenrette, and worked with Ernst & Young as a Manager in their valuation group valuing businesses and intangible assets for a variety of purposes.
Mr. Frizell lives in Highland Park, Texas along with his wife Renae, and their three children. He is active in the community, serving in the Boy Scouts of America as a Scout Master, volunteering at the Moody YMCA as a youth coach and is an active member of the Highland Park United Methodist Church.
Mr. Frizell received his Bachelor of Business Administration in Finance with a concentration in Accounting from the University of Texas. Mr. Frizell is a CFA Charter Holder and holds FINRA Series 7, 63, 9, and 10 licenses.