Profile

Mr. Steve E.
Hengst
is Chief Compliance Officer at Kovitz Investment Group LLC.
Mr. Hengst spent over six years as a Securities Compliance Examiner in the SEC's Midwest Regional Office in Chicago prior to joining Kovitz Investment Group in 2005.
In this position, he participated in or led over 100 examinations of investment advisors and investment companies.
Mr. Hengst received his Bachelor of Science degree in Finance with a Minor in Economics from Valparaiso University.
He is also licensed with FINRA under Series 7, 24, and 66.

Former positions of Steve E. Hengst

CompaniesPositionEnd
US Securities & Exchange Commission Corporate Officer/Principal 2005-10-31
Compliance Officer -
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Training of Steve E. Hengst

Valparaiso University Undergraduate Degree

Experiences
Positions held

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Inactive

Listed companies

Private companies

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Connections

45

1st degree connections

3

1st degree companies

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Female

Members of the board

Executives

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Linked companies

Private companies2

Finance

US Securities & Exchange Commission

Finance

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