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Highview Capital Management, LLC

Highview Capital Management, LLC. CRD 306195

Highview Capital Management, LLC logo

CRD: 306195

Highview Capital Management, LLC

$416.3M Total AUM
$416.3M Disc. AUM
-- 3Y CAGR
5 Employees
97 ADV. Clients
6 yrs Firm Age

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Firm Details

Custodian
BNY Mellon ยท Pershing
Clients
Retail and Institutional
Platforms
Available
Established Date
03-16-2020
Office Locations
1

Office Locations

2150 E. Lake Cook Road Suite 820 Buffalo Grove IL

About Highview Capital Management, LLC

Highview Capital Management is an independent, fiduciary multi-family office and boutique investment manager based in Buffalo Grove, IL. The firm partners with a select client base on wealth planning (including tax-aware capital allocation), customized portfolio management, and ongoing client education across generations. Investment programs emphasize risk management and broad market vehicles such as ETFs and public funds, with custody relationships including Pershing and Northern Trust.

Team overview

42 AVG AGE
$138.8M AVG AUM / ADVISOR
$4.3M AVG AUM / CLIENT
5.7 yrs AVG TENURE
5 Employees
3 Advisory Reps
4 RIA Reps
6yrs Firm Age

Insights

Available
Available
Available
Available
Available
Available
Available
Available

Asset Classes

Available

Client Personas

Available

Custodian

Available

Investment Themes

Available

Investment Vehicles

Available

Platform

Available

Services

Available

Technology

Available

Owner & Executives

MICHAEL PATRICK MCNITT

MICHAEL PATRICK MCNITT

Managing Partner, Partner

CRD
#5662484
Ownership
25% but less than 50%
Available
Available
Available
MARK LOUIS SANSOTERRA

MARK LOUIS SANSOTERRA

Chief Compliance Officer, Chief Investment Officer, Managing Partner, Partner

CRD
#7225934
Ownership
25% but less than 50%
Available
Available
Available

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Contacts

B

BRIAN DONALD VOGLER

Investment Analyst

CRD
#6288722
Available
Available
Available

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
03-25-2022
08-18-2023
06-26-2024
02-06-2025
03-27-2026
Category Assets AVG. Account size
Discretionary $416,313,564 $1,619,897
Non-Discretionary $0 --
Total $416,313,564 $1,619,897

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Separately Managed Accounts

Total SMA Asset: Available

Locked Total SMA
Equity - Exchange:
Available
Public Funds:
Available
Equity - OTC:
Available
Cash:
Available
Municipal Bonds:
Available
Asset class Assets Assets %
Equity - Exchange Available Available
Public Funds Available Available
Equity - OTC Available Available
Cash Available Available
Municipal Bonds Available Available
Total Available Available

13F Holdings | Q1 2026

Issuer Class CUSIP Ticker % Value
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available
Available Available Available Available Available Available

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