GLOBAL COMPLIANCE RISK MANAGEMENT CORP.
John Robbins, CFA, has an established career in leading compliance and risk management for some of the world's largest asset managers. Most recently, John served as Managing Director and Regional Head of Compliance for BlackRock after leading Babson Capital Management's compliance and risk program as Global Head of Compliance.
Prior to his role with Babson Capital Management, John served as the Global Head of Compliance for AIG Investments. Before joining AIG, John was the Regional Head of Asset Management Compliance - Americas, Chief Compliance Officer of Deutsche Asset Management's SEC registered adviser, Deutsche Investment Management Americas Inc., and served as the Global Head of Institutional Compliance. Previous to working for Deutsche Asset Management, John served as Chief Compliance Officer of GE Asset Management, Inc. In this capacity, he was the Chief Compliance Officer for the GE Mutual Funds and GE Investment Distributors, Inc., a registered broker/dealer. John joined GE in 1999 as the compliance leader for the GE Financial Assurance Investment Department.
John is a graduate of Occidental College and the holder of the Chartered Financial Analyst designation. John maintains several securities licenses, and has served as a securities arbiter, speaks on compliance and risk management for industry conferences and panels regularly and has served on several industry committees including for the Investment Advisers Association and on the disciplinary oversight committee for the CFA Institute.