Investment Adviser, General Securities Principal, Vice-President, Chief Compliance Officer
Rusty joined AIS in 1983. In addition to over 35 years in the securities industry, he has experience in real estate investment & management, corporate board service, and has held public office. He remains active in real estate and board service. Rusty's professional licenses include FINRA Series 7, 24, 27, 63, and life, health, and variable annuity. He has a BS in Economics from DePauw University.