Scott Black

Chief Legal Officer/Chief Compliance Officer at Hudson Bay Capital Management

Scott Black has over 20 years of work experience in the legal and compliance field. Scott has held various leadership roles, including Chief Legal Officer and Chief Compliance Officer at Hudson Bay Capital Management LP since February 2020, and General Counsel and Chief Compliance Officer since October 2010. Prior to that, they worked at the US Securities and Exchange Commission, starting as a Senior Trial Counsel from May 2005 to March 2010, and later becoming an Assistant Regional Director from February 2010 to October 2010. Scott also worked as a Staff Attorney at the Securities and Exchange Commission from July 2004 to May 2005. Before their tenure at the SEC, they worked as an Associate at Kostelanetz & Fink LLP from October 2002 to June 2004. Scott'sprofessional journey began at Wachtell, Lipton, Rosen & Katz, where they worked as a Litigation Associate from October 1996 to October 2002.

Scott Black attended Solomon Schechter Day School from 1976 to 1988. After completing high school, they went on to study Philosophy at Columbia University from 1988 to 1992, earning a Bachelor of Arts (BA) degree. Subsequently, they pursued further education at New York University School of Law from 1992 to 1995, where they obtained a Doctor of Law (JD) degree. No specific field of study is provided for their JD degree.

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