Christian is a Principal and serves as Compliance Manager and Compliance Officer. He oversees and administers a broad range of compliance duties, including trading controls and surveillance, the GIPS Firm, assessments of investment ESG compliance, Brown’s compliance testing program, regulatory filings, and marketing content review. Prior to joining Brown in 2018, Christian served as a Senior Compliance Analyst with Campbell & Company LP, an alternative-asset hedge fund, and as a Derivatives Pricing Analyst with Morgan Stanley.
Education
- Loyola University Maryland, BBA
- University of Maryland, MBA
Community Involvement
- Board of Directors, The Family Tree