As Head of Advocacy and Industry Insights, Glen is responsible for the development and execution of the RIA’s advocacy strategy and thought leadership priorities. He works with key stakeholders and investor networks in support of policy and advocacy initiatives. Additionally, he oversees the RIA’s key research projects with a focus on providing perspectives of the responsible investor.
Glen brings more than 20 years of capital markets experience having occupied roles in trading, equity research, compliance and responsible investing. Prior to joining the RIA, he spent over 18 years at an investment management firm, most recently as Vice President and Chief Compliance Officer. In addition to overseeing the firm’s compliance program, Glen was responsible for the firm’s responsible investing initiatives. He brings a wealth of knowledge and a shared passion for the continued development of responsible investment.