Kyle Wirth became the Adviser’s Chief Compliance Officer on October 1, 2020 and has served as the Chief Compliance Officer of Motley Fool Investment Management (“MFIM”) since March 2020. Mr. Wirth serves as the Chief Compliance Officer and oversees the regulatory compliance programs for each registered investment advisor entity under MFIM, including the Adviser.
Prior to joining MFIM, he served as the Chief Compliance Officer and Counsel of SP Investments Management, senior legal and compliance counsel of Sequoia Capital Operations, and senior legal and compliance counsel and regulatory product counsel for the FutureAdvisor and iShares businesses of BlackRock, respectively. Mr. Wirth began his legal career at the law firm of Simpson Thacher & Bartlett LLP. He obtained his Juris Doctorate from New York University School of Law, and his undergraduate degree in business administration from Oregon State University.