Curtis Christensen is the Compliance Officer of Caliber and responsible for developing a compliance program that supports revenue growth in a compliant manner, consistent with the company’s emphasis on risk management and regulatory adherence. He brings over 25 years of experience in the financial services industry with various alternative asset managers, registered investment advisers, broker-dealers and investment companies.
Mr. Christensen has served as Chief Compliance Officer with six other firms regulated by the SEC, FINRA, NFA/CFTC and Arizona Securities Division. He earned an MBA from the University of Minnesota, a BS in Business Management from Brigham Young University and Certified Regulatory Compliance Professional "(CRCP") certification from FINRA Institute at Georgetown.
C: 602.834.2870 | O: 480.295.7600 | Curtis.Christensen@CaliberFunds.co