Bobby Boyce Overview

  • Primary Position
  • 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

Primary Position
Chief Compliance Officer, Commerce Street Holdings
Education
University of North Texas, Denton, Bachelor's
Gender
Male

Bobby Boyce FAQs

  • Who is Bobby Boyce?

    Mr. Bobby Boyce served as Chief Compliance Officer at Commerce Street.

  • How much does Bobby Boyce typically invest?

    Bobby Boyce's median deal size is .

  • What is Bobby Boyce’s main position?

    Bobby Boyce’s primary position is Chief Compliance Officer.

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