Chief Compliance Officer
John is an accomplished attorney (licensed in both New York and Utah) and brings over eight years of legal experience. John’s experience mainly includes private equity, fund formation, securities, tax, corporate and business law, real estate, mergers and acquisitions, debt financing, and SEC compliance. John’s professional fund experience began at Bridge Investment Group (a real estate fund manager with over $20 billion AUM) where he was an associate counsel for the firm. He then gained valuable experience in corporate law, real estate, and securities at one of Utah’s most respected law firms – Clyde Snow & Sessions. Since then he has continued to expand his legal acumen by becoming one of the youngest partners at the law firm Freeman Lovell. In addition, he is a licensed Utah real estate agent and is fluent in Mandarin Chinese. John has a Bachelor of Arts from Brigham Young University and a Juris Doctor from Arizona State University – Sandra Day O’Connor College of Law.