You will be leaving Acadian-Asset.com and headed to an external site. Acadian Asset Management is not responsible for the content provided on your destination site and makes no warranties, express or implied, for the accuracy of any content or use of a third-party website and assumes no liability for any errors, inaccuracies, or omissions for third-party website content. While Acadian is providing a link to a third-party website, Acadian does not control, approve, or endorse the website or any of its contents, its sponsor, or any of the policies, activities, products, or services offered on the site or by any advertiser on the site.
Senior Vice President, General Counsel, Chief Compliance Officer
Scott joined Acadian in 2004 and has served as Acadian’s Chief Compliance Officer since that time. Previously, he was with LPL Financial Services, where he worked in various roles including vice president of compliance and associate counsel. Prior to LPL, he was a staff attorney with the Massachusetts Securities Division in the Investment Adviser section. Scott earned his B.S. at Babson College and his J.D. from the New England School of Law.