FacultyFaculty/Author Profile

Ronald A. Holinsky

Lincoln Financial Group
Vice President, Chief Compliance Officer & Assistant General Counsel
Radnor, PA, USA

Ronald A. Holinsky serves as Vice President & Chief Compliance Officer for Lincoln Financial Group, having joined Lincoln Financial in September 2013.  In that role, he serves as the enterprise chief compliance and ethics officer for Lincoln Financial.  Prior to that, he served as Vice President & Deputy General Counsel for Janney Montgomery Scott LLC, as well as Chief Legal Officer for its investment adviser subsidiary, Janney Capital Management LLC.  Prior to Janney, he served as Associate General Counsel for Legg Mason, senior associate for K&L Gates and senior counsel for the SEC’s Division of Investment Management and Office of Compliance Inspections and Examinations.  He is a graduate of West Virginia University’s business school and University of Baltimore School of Law, evening division.  Mr. Holinsky has over 17 years of regulatory legal and compliance experience and leadership in the securities and financial services industries.

Ronald A. Holinsky is associated with the following items:
Treatise Chapters  Treatise Chapters Customer Transactions: Suitability, Unauthorized Trading, and Churning - Broker-Dealer Regulation (Second Edition), Monday, September 24, 2018

  • twitter
  • LinkedIn
  • YouTube
  • RSS

All Contents Copyright © 1996-2019 Practising Law Institute. Continuing Legal Education since 1933.

© 2019 PLI PRACTISING LAW INSTITUTE. All rights reserved. The PLI logo is a service mark of PLI.