Joe Savage
About Joe Savage
Joe Savage serves as the Vice President at the Financial Industry Regulatory Authority, a position he has held since 1999. He has an extensive educational background in History, Economics, Public Policy, and Law, with degrees from the University of Virginia, University of California, Berkeley, and UC Hastings.
Current Role at FINRA
Joe Savage serves as Vice President at the Financial Industry Regulatory Authority (FINRA). He has held this position since 1999, contributing to the organization's mission of ensuring investor protection and market integrity. His tenure at FINRA spans over 25 years, during which he has been involved in various regulatory initiatives and policy developments.
Previous Experience at Investment Company Institute
Before joining FINRA, Joe Savage worked as Associate Counsel at the Investment Company Institute from 1997 to 1999. In this role, he provided legal guidance and support on matters related to investment companies and mutual funds, contributing to the organization's advocacy and regulatory efforts in the Washington D.C. Metro Area.
Legal Career at Morrison & Foerster LLP
Joe Savage was Of Counsel at Morrison & Foerster LLP from 1990 to 1997. During his seven years at the firm, he focused on legal issues pertinent to financial services and regulatory compliance, leveraging his expertise to assist clients in navigating complex legal landscapes.
Educational Background in Public Policy and Law
Joe Savage has a strong educational foundation in public policy and law. He earned a Master of Public Policy from the University of California, Berkeley, from 1984 to 1987. Additionally, he obtained a Juris Doctor degree from the University of California, College of the Law, San Francisco (formerly UC Hastings), from 1983 to 1987. His undergraduate studies in History and Economics culminated in a Bachelor of Arts from the University of Virginia, where he studied from 1978 to 1982.