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Joe also serves as the Head of Compliance for SLC Management’s alternatives manager Crescent Capital Group LP and is a member of Crescent’s Management Committee.
Prior to joining the firm, Joe was the CCO for the Fidelity Investments Equity and High-Income Mutual Funds and Exchanged Traded Funds. He was at Fidelity Investments for 13 years in various Compliance capacities. Joe practiced law as a counselor and litigator for Robins, Kaplan, Miller & Ciresi from 1992 to 2001 where he focused on advising and representing insurers on regulatory matters and complex litigation.
Joe received a JD from Boston College Law School and BS in Finance from Boston College.