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Todd L. Spillane
Chief Compliance Officer
Todd Spillane is the chief compliance officer for CIBC Private Wealth Management, with more than 30 years of industry experience. In this role, Todd oversees compliance and regulatory matters for the firm.
Previously, Todd served in various compliance and regulatory capacities. He was a consultant at Cutter Associates, and he also maintained compliance responsibilities at Morgan Stanley Investment Management. Todd served as the chief compliance officer for Invesco, the Invesco Funds, PowerShares and other affiliated entities, as well as Nicholas-Applegate Capital Management. He began his career as an attorney for Aetna Life and Casualty.
Todd earned his Bachelor of Arts degree in politics from Fairfield University, and a Juris Doctor degree from Western New England. He is admitted to practice in Connecticut.
Representing CIBC Private Wealth Group, LLC.
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