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Bricktown Capital
Bricktown Capital

Experience. Discipline. Perspective.
Meet the Bricktown Leadership Team.

Waymond Harris

President & CEO, Bricktown Capital, LLC

An investment professional with over 18 years of experience, Waymond is responsible for managing the financial assets and debts on behalf of Bricktown and its clients.  Prior to Bricktown Capital, Waymond worked as an analyst at a multi-strategy hedge fund, Semaphore Management.

An engineer and CFA charter holder by background, Waymond graduated from the United States Military Academy with a B.S. in Engineering Management and received his MBA from the Massachusetts Institute of Technology’s Sloan School of Management.

Ryder Campbell

Chief Finance Officer, Bricktown Capital, LLC

Drawing on over 20 years investment experience, Ryder provides investment and market thought leadership to Bricktown Capital.  Prior to Bricktown Capital, Ryder spent over ten years helping drive the evolution of the investment function at the largest health insurance company in Michigan.

Ryder has held roles on both the buy-side and sell-side, focusing primarily on investment grade and high yield credit research and trading.  Ryder holds an MBA from Yale University and a BA in Finance from Linfield College.  He received his CFA charter in 2004.

Jamison Smythe

Director Investment

Jamison joined the largest health insurance company in Michigan in 2014 and was promoted to Director of Investments in 2018. He has broad institutional investment management expertise and brings experience with strategic and tactical asset allocation, risk management and investment policy administration. Prior to joining Bricktown Capital, Jamison was the Senior Investment Officer with the Municipal Employees’ Retirement System in Lansing, Michigan.

Jamison earned a Bachelor of Business Administration degree in Finance from Grand Valley State University and his Master of Business Administration from the University of Michigan Ross School of Business.

Michael Murphy

Director Investment Risk

Michael has been the Director Investment Risk at the largest health insurance company in Michigan since May of 2014. Formerly with Wells Fargo Bank in San Francisco, managed and evaluated the Wells Fargo Balance Sheet for interest rate risk and market valuation perspectives. Over 20 years of experience in the financial services arena, including balance sheet management, compliance, investment portfolio forecasting and analysis, and risk management.

Michael graduated with a Bachelor of Business Administration from Western Michigan University and a Master of Finance degree from Walsh College.

Tom Deck

Chief Compliance Officer

Tom has a long history of leading compliance for RIA, Broker Dealer and Investment Services between his tenure at BNY, M&T and Mid-Atlantic. He has served as a CCO for the last 9 years and in total has 20+ years of compliance experience and 25+ years working in support of Registered Investment Advisories.

Tom received his BA from Franklin and Marshall College and his MBA from Temple University. He holds the Series 7, 24, 53, 66 and 63 securities licenses.