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John Squillace

Chief Compliance Officer (investment Advisory Business)BNY Mellon Securities CorporationCRD 5504616

About John Squillace

John Squillace is listed as Chief Compliance Officer (investment Advisory Business) at BNY Mellon Securities Corporation in New York, NY. Form ADV reports a beneficial ownership band of Under 5%. John Squillace is associated with 3 registered advisers.

Reported ownership

Owns Under 5% of BNY Mellon Securities Corporation
Ownership band reported on Form ADV Schedule A

Frequently asked questions

Where does John Squillace work?

John Squillace is listed as Chief Compliance Officer (investment Advisory Business) at BNY Mellon Securities Corporation on SEC Form ADV.

How much of BNY Mellon Securities Corporation does John Squillace own?

Form ADV reports a beneficial ownership band of Under 5%.

BNY Mellon Securities Corporation

TitleChief Compliance Officer (investment Advisory Business)
OwnershipUnder 5%
Control personNo
Since2016

BNY Mellon ETF Investment Adviser, LLC

TitleChief Compliance Officer
OwnershipUnder 5%
Control personYes
Since2024

BNY Mellon Investment Adviser, Inc.

TitleChief Compliance Officer
OwnershipUnder 5%
Control personYes
Since2021