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Robert Tull

Adjunct Faculty and Chief Compliance Officer at CBRE Clarion Securities

  • Education
  • M.A., Loyola University Chicago School of Law,

    B.A., Villanova University

Rob is the firm's Chief Compliance and Risk Officer and is responsible for the oversight and execution of the global compliance and risk management program. Rob has spent his entire professional career specializing in regulatory compliance; he began his career with the U.S. Securities and Exchange Commission as an examiner for investment advisers and investment companies. Prior to joining CBRE Clarion Securities' predecessor firm in 2008, Rob was a senior consultant for a compliance consulting firm. Mr. Tull has 19 years of compliance and regulatory experience.