Profil
Mr. Todd Campbell is Compliance Officer at Herndon Capital Management LLC.
Prior to joining Herndon Capital Management, LLC, Mr. Campbell spent 5 years as a Compliance Analyst II at SunTrust Investment Services, Inc. working in the Compliance Services division.
Prior to that, he spent 2 years working as a Compliance Consultant as he finished up his graduate studies.
Before consulting, he spent a year as the Chief Compliance Officer at Neovest Trading, Inc. where he managed the daily activities of the Operations department as well as supervised the activities of 24 registered representatives.
Mr. Campbell received his Bachelor of Arts degree in Economics from Morehouse College in 1995 and graduated magna cum laude, Phi Beta Kappa honor society, and as an Oprah Winfrey Scholar.
He obtained his Masters of Business Administration degree in Personal Financial Planning from Georgia State University in 2004.
He holds the FINRA Series 4, 7, 24, 53, 63, and 65 registrations and he is a future candidate for the CSCP (Certified Securities Compliance Professionals) designation.
Anciens postes connus de Todd Campbell
Sociétés | Poste | Fin |
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Suntrust Investment Services, Inc. (Investment Adviser)
Suntrust Investment Services, Inc. (Investment Adviser) Investment ManagersFinance SunTrust Investment Services, Inc. (STIS) is a dual investment advisor and broker-dealer headquartered in Atlanta, Georgia and was founded in 2005. The firm is a subsidiary of SunTrust Bank Holdings, Co. STIS is an introducing broker-dealer clearing its trades through National Financial Services LLC and its affiliate Fidelity Management Trust Co. STIS is a member of FINRA and the SIPC. | Corporate Officer/Principal | - |
Formation de Todd Campbell
Morehouse College | Undergraduate Degree |
Georgia State University | Masters Business Admin |
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Entreprise privées | 1 |
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Suntrust Investment Services, Inc. (Investment Adviser)
Suntrust Investment Services, Inc. (Investment Adviser) Investment ManagersFinance SunTrust Investment Services, Inc. (STIS) is a dual investment advisor and broker-dealer headquartered in Atlanta, Georgia and was founded in 2005. The firm is a subsidiary of SunTrust Bank Holdings, Co. STIS is an introducing broker-dealer clearing its trades through National Financial Services LLC and its affiliate Fidelity Management Trust Co. STIS is a member of FINRA and the SIPC. | Finance |