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One of Trudeau's aides Barry Strayer later said about Chrétien's role in the constitutional battle: Retrieved June 28, Their eldest is daughter France Chrétien Desmarais b. University of Toronto Press, page x. Archived from the original on July 17,

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Please enter the value. Get FREE email alerts. Start Trademark Filing Process. Protect this Mark Internationally. Search theinvestolator on popular social networks. Please enter your email address. Please enter your password. Please enter your review. Ralf has always been passionate about standardization and leveraging technology to simplify the demands of modern legal and compliance work.

Advisor to the European Investment Bank. Evgueni has a more than 20year career in the banking sector working in global and large banks. In his risk management career, he was responsible for areas like stress testing including regulatory stress tests, risk appetite, capital management, portfolio risk optimisation and risk modelling and analytics.

Liban is a former U. He has extensive experience in. Liban has spoken extensively on topics including financial fraud, anti-corruption, FCPA, as well as on a wide range of compliance related issues. Stéphane is a member of Axa Financial Regulation Steering Committee as well as a member of various internal topical regulatory Steering Committees.

Management Association, responsible for international regulatory strategy and promotion. Investor Council since March His first commitment at EU level started at the European Commission, where he was seconded as an official National Expert from to — being responsible for four regulatory topics: He is married and has three children. Michel is in charge of protecting intellectual capital and information knowledge.

He defines the information security policies and standards, along with internal controls. He provides information risk analysis to monitor the security of outsourced data.

Brendan has extensive experience in issues relating. At Seward, Brendan dealt in related matters with respect to investment advisers, including commodity pool operation, management company structuring, fund marketing and advertising, employment. Most recently, Gary has been advising clients in the development, implementation and maintenance of regulatory enterprise risk management infrastructure.

Kennedy is a senior compliance officer with more than 20 years of experience with corporate and fund governance, federal and state securities and banking laws and regulations, ERISA, antimoney laundering and U. Previously, for just under eight years, Mr.

Kennedy was a Managing Director and the. Prior to Arden, Mr. Kennedy was with Citigroup. Prior to joining Citigroup, Mr. In these roles, he has served as CCO, supervising compliance teams supporting all manner of asset management and private banking activities for registered investment advisers, commodity pool operators, banks and trust companies, and handled.

Kenett is a multidisciplinary financial economist, expert on financial networks, financial stability, and systemic risk. Prior to that, Kenett held a researcher position at the U. Kenett applies his scientific background to financial stability questions, focusing on network-based models, financial contagion and spillovers, and correlation-based models.

He has extensive experience in leadership and change management. He implemented new organizational set-ups, designed and implemented compliance and risk functions as well as management tools and reporting platforms cross.

Hubert is subject-matter expert in compliance and risk management topics, e. Beyond these topics, he covered functions for the entire range of Corporate Banking, Wealth. Pythagoras Group is a solutions provider in Compliance and Risk environment with several hundred clients in more than 50 countries. He is also a regular speaker and lecturer for compliance and risk topics. Furthermore, he coaches senior managers and executives with regard to such topics.

Prior to this, he was a Cofounder and Publisher of GSCS Benchmarks, the leading European global custody title, and was also a co-founder and Director of Financial-i, Global Transactions magazine and Capital Horizons, which focused on emerging markets investment.

He serves as a Member of the advisory board of TradeTech. He chairs and speaks at industry conferences throughout Europe and Asia. He has lectured in international economy at the London School of Economics. Lee has an MSc. In this role, Ms. Licea-Mailloux is responsible for proactively identifying, evaluating, mitigating and reporting on compliance, regulatory and risks matters impacting the Funds.

LiceaMailloux has been with Natixis since Prior to joining Natixis, Ms. Licea-Mailloux earned her J. Including writing the negotiation playbooks. Primary responsibilities included implementing and overseeing multiple compliance oversight programs to address regulatory priorities, including relevant changes prompted by the Dodd-Frank Act and other G regulatory reforms.

At School House, he implemented and managed day to day compliance efforts for multiple IRC college savings plans, including the. David has passed the series 7, 24, 53, and 63 exams. Prior to his current position, Derek served in the same roles at two prominent Boston-based investment advisers focusing on fixed income and life sciences, respectively.

Securities and Exchange Commission. Evan is a seasoned strategy and digital marketing executive with 17 years experience transforming business insight into revenue, audience and brand equity growth for leading global organizations. Evan has also held senior marketing roles at Gilt Groupe, About. Prior to this, Bertrand held various roles as Risk Manager and was also Portfolio Manager for the factoring subsidiary of a Paris-based banking group.

Bertrand started his career as an auditor in Luxembourg. Shahin has spent the last 15 years in the agency, corporate and academic worlds creating paths that help navigate through these types of opaque problem spaces.

Yet, this goes against how true innovation and transformation emerge. For The Economist Group, he has been defining and leading a digital transformation program aimed at creating growth for one of its major businesses. In his short tenure at Accenture, he contextualized how a customer centered proposition would look like in the next few years within the financial services industry.

Previous to that, he was a partner at a User Experience and Digital Service Design agency where he helped to establish a thriving business from scratch; the agency helped FTSE clients to deliver mission-critical usercentered digital services.

Finally, his PhD looked at the way people distribute their collective cognition when they engage in creative collaborative work in a collocated environment. Three decades ago Avi cofounded Strategic Insight SI , a thought leadership and business intelligence firm for mutual fund industry leaders which today is widely used in the U.

Avi presents often in fund industry conference and panels, and at times educates U. He is the author of the awardwinning 1 bestselling book 'Criminal Capital'. Sandra and TCF work extensively with start ups and Tech firms as well as more traditional firms, mainly but not only in financial services and where she has acted as Head of Compliance for several digital businesses.

A lawyer by training who then moved into investment banking, prior to co-founding The Compliance Foundation, she was a senior regulator in the UK with the Financial Services Authority as well as a Risk and Compliance Director for a major banking and insurance group where she established a leading approach to people risk management.

Jeff has served as Chief Data Officer for Pioneer Investments where he led the global data strategy and evangelized the importance of data governance. Jeff has also advised several financial services organizations in consulting capacities defining data strategies and standing up data governance teams.

Jeff is recognized as one of the thought leaders and is a regular guest speaker in the data management industry. Prior to joining the SEC, she was an associate in the investment management practice groups of two Washington, DC-area law firms, where she advised investment companies, investment company independent directors, and investment advisers on issues arising under the Investment Company Act of , the Investment Advisers Act of , and other federal and state securities laws. He pioneered investment management executive search in , founding Warren International to specialize in financial services executive search.

Robert has undertaken senior level assignments on a global basis and frequently acts as an advisor to CEOs, domestic and global, on their global expansion plans. Robert has the longest tenure as an active search professional globally. He started his career at the Irving Trust Company. In his role, Terry is responsible for business leadership as it relates to Operations and ultimately for ensuring that core insourced and outsourced operational services are delivered to our internal stakeholders and external customers.

Terry has overseen a number of strategic reviews since joining FSI as well as leading a number of new product developments. Terry is currently focused on driving forward the delivery of a number of regulatory initiatives as well as continuous improvement of our operational infrastructure, processes and systems to ensure the business is able to deliver against its strategic objectives.

The R Evolution of Co The CSI executive roundtables spanned New York, Boston, London and Paris and included senior representation alphabetically listed below from global asset managers, hedge funds, private equity and boutique investment houses, wealth managers, the SEC, the European Central Bank, investment consultants, leaders in brand, fashion, new media, and think tanks, including: He serves as Chief Compliance Officer for four U.

Prior to joining Simpson Thacher, David served as General Counsel of the Investment Company Institute ICI , where he was responsible for the full range of legal and regulatory matters affecting the asset management industry, including investment company, capital markets, pension and tax issues. David has also spent time in private practice, having worked at two other international law firms. Tom is a current member of NOIP, and previously was the Chairman of Liberty Leads; a non-profit with a mandate to reduce dropout rates among inner city High School students and prepare them for college or university.

With over 20 years of industry experience at The Boston Company, Jennifer started at the firm as a compliance analyst. In that position, he led the review of SECregistered clearing agencies for systemic importance by the Financial Stability Oversight Council and the establishment of new financial and risk management supervisory practices for such firms.

Dell was designated Chief Compliance Officer for various regulated entities within the Ares Management organization, including registered investment advisers in the U. He regularly conducts product and distribution master classes for Chief Executive Officer's and heads of asset management worldwide. He has written extensively on the fund industry, including various books on Asia, the Middle East and Global Fund Distribution.

Cindy is responsible for ensuring that the software environment is ready to pass all regulatory audits. She graduated from the Pennsylvania State University with a B.

Cindy studied the field of IT Auditing and earned the distinction of Certified Information Systems Auditor CISA after demonstrating years of experience in the profession and mastering the competency exam. Jennifer has particular expertise in broker-dealer regulatory compliance and the intersection of fund marketing and broker-dealer obligations and has worked with numerous U.

After the Army Russell joined the FSA where he managed the TCF and Market Conduct teams, and led retail and wholesale enforcement cases including prosecutions and plea bargains for insider dealing.

He has extensive experience in investigating complex civil matters, performing compliance risk assessments, and assisting companies in designing, building and evaluating compliance programs, including policies, controls, training and monitoring mechanisms. Brendan has extensive experience in issues relating to the establishment and ongoing operation of hedge funds and funds of funds U. At Seward, Brendan dealt in related matters with respect to investment advisers, including commodity pool operation, management company structuring, fund marketing and advertising, employment agreements, joint ventures and seed capital arrangements.

In these roles, he has served as CCO, supervising compliance teams supporting all manner of asset management and private banking activities for registered investment advisers, commodity pool operators, banks and trust companies, and handled compliance and risk management for U.