Chief Compliance Officer
Corey is responsible for Third Bridge's global compliance program.
Before joining Third Bridge, Corey spent almost 10 years with the US Securities and Exchange Commission (SEC), starting in the Division of Enforcement in 2008 and joining the Division's Asset Management Unit in 2014. While at the SEC, he conducted numerous investigations of securities law violations and related compliance failures, including investigations of investment advisers, mutual funds, hedge funds, and private equity groups.
Corey studied Philosophy at Cornell University before going on to obtain a law degree at Stanford Law School. His legal career began at Vinson & Elkins, defending SEC enforcement actions and securities class actions.