Mr. Robinson has over thirty years of experience as a lawyer and CPA in the financial services industry. He has worked as in-house counsel with several very large insurance companies, including USAA, AIG and American Fidelity Assurance Co. He has also served as Chief Compliance Officer of an insurance affiliated broker/dealer. He holds a B.B.A. from the University of Notre Dame, a J. D. from University of Mississippi, an LL.M. in tax law from New York University as well as an MBA from St. Mary’s University. Mr. Robinson’s legal experience includes significant work experience in Tax Law, Insurance Regulation as well as Securities Regulation. Mr. Robinson also holds the Series 7, Series 24, Series 63 and Series 65 registrations with FINRA as well as an Arizona Life, Health and Accident insurance license. He also holds the CLU and ChFC insurance designations.