Christopher Maida has extensive experience in the financial sector, currently serving as Compliance Manager for Investment Limitations at Vanguard since August 2011, after progressing through various roles including Portfolio Compliance Manager and Team Lead for Global Derivatives Operations. Prior to that, Christopher held positions as an Analyst in Fixed Income and Brokerage Associate at Vanguard, and served as a Personal Banker at Wells Fargo Bank for a brief period. An early career internship at Biondo Investment Advisors involved direct collaboration with a fund manager on portfolio activities and investment strategy research. Christopher holds an MBA in Finance from Villanova University and a BSBA in Finance from Slippery Rock University of Pennsylvania.
Location
Fannett, United States
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