Mr. Corson joined PineBridge in 2022 as Global Chief Compliance Officer. He is responsible for overseeing the organization’s compliance program and framework, and ensuring compliance with laws, regulatory requirements, policies, and procedures. Mr. Corson spent nearly 15 years at Manulife Investment Management in various compliance leadership roles. From 1997 to 2007, he worked at Fidelity Investments in numerous CCO roles, each time leveraging his experience to evolve and strengthen firm compliance frameworks. Mr. Corson started his career at the Bank of New England and Investors Bank & Trust, serving the requirements of asset managers, investment advisors, and regulated funds. He graduated from the University of New Hampshire, earned his JD from Nova Southeastern University, and his Master of Laws (LLM) degree from Boston University School of Law, specializing in International Banking and Finance. He was admitted to the Massachusetts Bar in 1991 and is a member of the International Bar Association. He also served in the U.S. Marine Corps and was awarded the Naval Commendation Medal and two General Officer Certificates.