Scott R. Boyd
Professional summary
Being a previously registered professional could mean that this person is no longer operating under the supervision of the SEC or FINRA.
That means that the Securities and Exchange Commission may not be able to oversee the services that this specific professional is providing.
Scott Raymond Boyd was a registered financial professional .
Scott is a previously registered financial professional and started their career in finance in 1986. Scott had worked at 14 firms and has passed the Series 66, Series 63, SIE, Series 7, Series 22, Series 6 and Series 24 exams.
Question & Answer
Aliases
Other business activities
CRS (Client Relationship Summary)
The CRS(Customer Relationship Summary) document is not provided.
Certified licenses
Experience
December 19, 2011 - October 15, 2014
U.S. BANCORP INVESTMENTS, INC.
December 19, 2011 - October 15, 2014
U.S. BANCORP INVESTMENTS, INC.
July 22, 2008 - December 16, 2011
CUSO FINANCIAL SERVICES, L.P.
July 21, 2008 - December 16, 2011
CUSO FINANCIAL SERVICES, L.P.
May 22, 2008 - July 22, 2008
WAMU INVESTMENTS, INC.
May 21, 2008 - July 22, 2008
WAMU INVESTMENTS, INC.
May 30, 2007 - June 4, 2008
FSC SECURITIES CORPORATION
May 30, 2007 - June 4, 2008
FSC SECURITIES CORPORATION
October 31, 2005 - May 30, 2007
OSAIC SERVICES, INC.
September 28, 2005 - October 31, 2005
SUNAMERICA SECURITIES, INC.
January 27, 1999 - September 29, 2005
WAMU INVESTMENTS, INC.
November 19, 1993 - August 29, 1997
WELLS FARGO SECURITIES INC.
August 27, 1992 - November 19, 1993
MARKETING ONE SECURITIES, INC.
June 18, 1992 - July 13, 1992
METROPOLITAN LIFE INSURANCE COMPANY
June 18, 1992 - July 13, 1992
MSI FINANCIAL SERVICES, INC.
July 22, 1991 - March 24, 1992
PRINCIPAL SECURITIES, INC.
January 16, 1991 - January 30, 1991
IDS LIFE INSURANCE COMPANY
January 16, 1991 - January 30, 1991
AMERIPRISE FINANCIAL SERVICES, LLC
September 22, 1986 - February 6, 1991
NYLIFE SECURITIES LLC
Primary Firm SEC Registration
U.S. BANCORP INVESTMENTS, INC.
CRD#: 17868 / SEC#: 801-68122, 8-35359
State Registrations and Notice Filings
Listed states reflect where the advisor is authorized to serve clients under state regulations.
Visual representation of state registrations
Exams
Current Firm
U.S. BANCORP INVESTMENTS, INC.
CRD#: 17868 / SEC#: 801-68122, 8-35359
Contact information
SEC notice filing (52 States and Territories)
FINRA licenses (52 States and Territories)
Direct owners and executive officers
| Name | Position | CRD# |
|---|---|---|
| U.S. BANCORP | PARENT CORPORATION | |
| AHMAD, MASOOD | SENIOR VICE PRESIDENT, OPERATIONS MANAGER | 7887624 |
| BEJASA, EILEEN | DIRECTOR | 7002808 |
| CLARK, SHANNON KEITH | DIRECTOR AND CHIEF FINANCIAL OFFICER | 5829700 |
| FERGUSON, KIMBERLY NICOLE | CHIEF EXECUTIVE OFFICER AND DIRECTOR | 4120145 |
| FLOUM, JOEL IRA | DIRECTOR | 2405754 |
| LAWLOR, BETH D | DIRECTOR | 5352662 |
| MCCARTHY, MATTHEW RYAN | CHIEF LEGAL OFFICER | 6818984 |
| MOLLOY, JOHN WILLIAM JR. | DIRECTOR | 1939358 |
| ROLLAND, JODI THOMPSON | DIRECTOR | 2290884 |
| SALSTROM, KYLE NORMAN | CHIEF COMPLIANCE OFFICER, DIRECTOR | 5025315 |
| STEGEMEYER, STEPHEN KYLE | DIRECTOR | 2793064 |
| STEINER, STEPHEN WARD | CHIEF OPERATING OFFICER, SENIOR VICE PRESIDENT AND DIRECTOR | 2259345 |
| WHANG, JAMES | DIRECTOR | 2737019 |
Regulatory assets under management
| Total Number of Accounts | 66,996 |
| AUM (Assets Under Management) | $ 19,296,734,956 |
Disclosures
| Regulatory Event | 16 |
| Arbitration | 13 |
Accountant surprise examination report
| Filing Date | Form ADV-E Cover | Form ADV-E Report |
|---|---|---|
| 12/17/2025 | ||
| 12/19/2024 | ||
| 11/21/2023 |
Red Flags
Disclosures can be potential red flags, including customer disputes, regulatory fines, employer terminations, bankruptcies, judgments, liens, or certain criminal activities.
Check for any disclosures as part of your thorough research when choosing an advisor.