COMPANY HISTORY
M6i was formed in 1999 as a specialized firm. Our focus then was the shareholder disclosure of public companies of the S&P 500, Russell 2000 and the developmental stage enterprise.
We resolved the strategic financial issues of these companies through dialog and problem solving protocols with the client’s outside legal counsel, the US Securities & Exchange Commission's politically appointed Office for these matters (OCA) and the national office of the client's Big 4 auditors. We also addressed similar issues with privately held companies, including those intending to go public.
During that time, M6i’s broader spectrum of skills and attributes were recognized by the executive leadership of its clients and individuals seeking professional advice regarding wealth management and the capital markets. We were asked to lead cross-functional strategic initiatives and projects throughout the organization, as well as to provide guidance on the economic climate, financial markets and investment strategies for individuals. Our work continued to migrate down that wider path and today the company has evolved into a versatile strategic asset for its clients.
Prior to founding the company, John Feeney served on the staff of the Director of the SEC's (*) Division of Corporation Finance (Washington, DC), and as a CPA on the audit staff of KPMG Peat Marwick's Miami office. He has also served as Vice-President of Finance for a large merchant energy company reporting publicly and holds a Masters from the University of Florida's Warrington College of Business.
* US Securities & Exchange Commission