Please be advised that Texas Capital’s financial centers will close at 2:00 p.m. CT on December 24, 2024. We will be back to our normal operating hours on Thursday, December 26, 2024.

Texas Capital Bank Client Support will be closed for Christmas Day on Wednesday, December 25, 2024. We will be back to our normal operating hours on Thursday, December 26, 2024.

We will be making updates to our website from 8:00pm - 11:00 pm CST on 12/11. During this time, the website may experience some interruptions of functionality or be unavailable.

 

Daniel S. Hoverman

Managing Director,
Head of Corporate & Investment Banking
Texas Capital Bancshares, Inc. & Texas Capital 

Daniel S. Hoverman is Managing Director, Head of Corporate & Investment Banking at Texas Capital Bancshares, Inc., and Texas Capital. He also serves as Managing Partner and President of TCBI Securities, Inc., doing business as Texas Capital Securities, and as a Trustee of the Texas Capital Funds Trust. Texas Capital Securities is a member of FINRA, MSRB and SIPC and is registered as a broker-dealer with the Securities and Exchange Commission. The Texas Capital Funds Trust is a Delaware statutory trust registered as an open-end management investment company under the Investment Company Act of 1940. 

Daniel joined Texas Capital in August 2021, bringing more than 20 years of experience serving clients across commercial banking, investment banking, corporate advisory and capital markets. He most recently served as Managing Director, Head of Corporate Advisory and Sponsors Coverage at Regions Bank in Dallas, Texas. Daniel previously held various financial and legal roles at Houlihan Lokey, Credit Suisse, UBS Investment Bank and Kirkland & Ellis in New York, London and Hong Kong.

Daniel earned a Bachelor of Arts cum laude and with distinction in history at Yale University, where he was a Robert C. Bates Fellow and received the New Prize. He also earned a Juris Doctor and a Master of Business Administration at Columbia University, where he was a John M. Olin Fellow and a James Kent Scholar. He holds FINRA Series 7, 24, 50, 52, 53, 54, 63, 79 and 87 licenses, is a CFA® charter holder and is an inactive member of the New York Bar.