Bobby Boyce Overview
- Firm
- Commerce Street...
- Primary Position
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Chief Compliance...
Bobby Boyce General Information
Biography
Mr. Bobby Boyce served as Chief Compliance Officer at Commerce Street. His primary focus is on compliance matters for the holding company's FINRA-registered broker/dealer and SEC-registered investment advisor. Prior to joining Commerce Street, he was the Chief Compliance Officer at McGowan Group Asset Management. Inc. Mr. Boyce was a Regulatory and Compliance Consultant with 1st Global Capital Corp and was a Compliance Auditor with HDVest Financial Services. Mr. Boyce has 12 years of financial services experience. Bobby earned a Bachelor's degree from the University of North Texas in 1994. Mr. Boyce is a registered representative and has passed the FINRA Series 7, 24, 53, 63, and 66 examinations.
Contact Information
Bobby Boyce FAQs
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Who is Bobby Boyce?
Mr. Bobby Boyce served as Chief Compliance Officer at Commerce Street.
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How much does Bobby Boyce typically invest?
Bobby Boyce's median deal size is
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What is Bobby Boyce’s main position?
Bobby Boyce’s primary position is Chief Compliance Officer.
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