Brian is an accomplished executive leader with 30 years of experience in global asset management, financial services, and banking. He currently serves as the Managing Director for PNC Bank's Institutional Asset Management group for the Pacific Northwest. Brian leads a team of investment, sales and ...
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Brian is an accomplished executive leader with 30 years of experience in global asset management, financial services, and banking. He currently serves as the Managing Director for PNC Bank's Institutional Asset Management group for the Pacific Northwest. Brian leads a team of investment, sales and client service professionals delivering innovative investment solutions for clients in Alaska, Idaho, Oregon, and Washington.
Brian is highly regarded for building relationships, creating innovative investment solutions, delivering strong business results, developing and leading high performing global teams, and is a strong advocate for his local community.
Prior to joining PNC, Brian enjoyed ~26 years at Russell Investments where he held a variety of executive level roles. During his tenure at Russell he led the global business efforts for Russell’s dually registered investment advisor and broker dealer that managed over $200 billion of directly managed equity, fixed income, FX, derivative, transition management and outsourced trading activity. Brian pioneered Russell’s quantitative and systematic equity group where he grew assets from zero to over $55 billion; managed a global team of investment professionals in Seattle, Sydney and London; and served on Russell Investment’s Global Investment Strategy Committee overseeing over $300bn of global AUM.
He is a well respected community leader currently serving as Chairman of the University of Washington Business School Advisory Board; serves as a Board member of PLTgolf, Inc.; was former Chairman of the Board for the Make A Wish Foundation of Alaska and Washington; Coached Mercer Island Little League Baseball; and has served on the Mercer Island School District’s Long Term Facilities Planning Committee.
Industry Licenses:
FINRA: Series 24, Series 7, Series 3, Series 32, Series 63, Series 65.
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