Brad Gude

Branch Chief, Division Of Investment Management, Investment Company Regulation Office

Brad Gude has extensive experience in securities regulation, currently serving as Branch Chief in the Investment Company Regulation Office of the U.S. Securities and Exchange Commission since August 2003. Gude's career at the SEC includes roles as Special Counsel in both the Investment Company Regulation Office and the Chief Counsel’s Office, as well as in the Division of Trading and Markets. Prior to joining the SEC, Gude worked as a Trade Analyst at TD Ameritrade from August 1999 to August 2000. Gude holds a Juris Doctor from The Catholic University of America, earned between 2000 and 2003, and a Bachelor of Arts in English Language and Literature from Creighton University, obtained in 1998.

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