Todd Spillane is an experienced financial service legal and compliance professional. With 30 years’ experience with firms such as Aetna Life & Casualty, Nicholas-Applegate, AIG, SunAmerica, and Invesco,in Legal and Compliance roles as the CCO for these entities. He has extensive experience in asset management investment advisory regulation, mutual fund regulation as well as the related broker
dealer regulation. Todd is currently an Executive Director in Legal and Compliance at Morgan Stanley Investment Management. Todd is responsible for directing the following areas at Morgan Stanley: Public Advisory, Mutual Funds, Monitoring, Board Reporting, and Service Provider Oversight.