![John J. Shepland](https://cdn.zonebourse.com/static/resize/768/576//static/images/insiders/unknown.png)
Profile
John J.
Shepland worked as the Chief Compliance Officer at Grace Financial Group LLC in New York from 2004 to 2013.
Former positions of John J. Shepland
Companies | Position | End |
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Grace Financial Group LLC (New York)
![]() Grace Financial Group LLC (New York) Investment Banks/BrokersFinance Founded in 2001 by Brian Villante, Grace Financial Group LLC is an SEC-registered investor located in Southampton, New York. The firm is a member of FINRA, the SIPC, the NFA, the MSRB, NYSE Arca, BATS, EDGA, EDGX. Grace Financial Group is a 'mini-prime' broker that executes trades for 180 small hedge funds, all of which have at least 50% of their trades transacted through the firm's small trading floor. The firm is an introducing broker to Goldman Sachs Execution & Clearing LP. Their clients include new and emerging hedge fund managers and registered investment advisors | Compliance Officer | 31/12/2012 |
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Linked companies
Private companies | 1 |
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Grace Financial Group LLC (New York)
![]() Grace Financial Group LLC (New York) Investment Banks/BrokersFinance Founded in 2001 by Brian Villante, Grace Financial Group LLC is an SEC-registered investor located in Southampton, New York. The firm is a member of FINRA, the SIPC, the NFA, the MSRB, NYSE Arca, BATS, EDGA, EDGX. Grace Financial Group is a 'mini-prime' broker that executes trades for 180 small hedge funds, all of which have at least 50% of their trades transacted through the firm's small trading floor. The firm is an introducing broker to Goldman Sachs Execution & Clearing LP. Their clients include new and emerging hedge fund managers and registered investment advisors | Finance |
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