Jason C. Pulos, CFA, JD
Managing Director
Jason works primarily with the firm's institutional clients. His work involves assisting clients with developing investment policy, asset allocation and portfolio construction, and leading manager search and due diligence efforts. Jason is the firm's Chief Compliance Officer and is a member of ACG’s Investment Committee, which establishes the framework for the firm's investment philosophy and oversees the internal processes used to ultimately make investment recommendations to clients. Jason received his Law Degree from St. Louis University, his Bachelor’s Degree from the University of Missouri and holds the Chartered Financial Analyst designation. He is a member of the Missouri and Illinois Bar Association, the National Association of Public Pension Attorneys, the CFA Society of St. Louis, and the CFA Institute.