Mark D. Scott

Co-Founder & Principal, Chief Operating & Compliance Officer

Mark began his career with Alex. Brown & Sons in 1984, and spent the first 12 years of his tenure advancing through the various operational departments of the premier investment banking and brokerage firm. This experience included work in the Margin and Clearing operations, as well as internal audit functions. In 1996, Mark was recruited to transition his skill set to working directly with firm clients, and began working with Zandy Campbell, as well as other Financial Advisors of the firm. While in this role, Mark was able to successfully complete the necessary education and training to obtain his securities license, and was responsible for all client service, trading and operational issues. Beginning in 1999, Mark and Zandy made the transition to a large wirehouse firm, as well as a regional investment advisory firm, gaining valuable corporate experience. By 2011, the pair concluded that they could deliver the same investment platform, customer service and experience, with much greater flexibility and autonomy through an independent firm. They established A.G. Campbell Advisory, LLC in 2012. 

Mark holds or has held the following securities industry licenses; the Series 7, Series 63, and Series 66.