Fidelity
JD (John) DiThomas is a seasoned compliance professional with extensive experience across various financial institutions. Currently serving as Vice President of Compliance Governance & Operations at Fidelity Investments since November 2024 and as an Adjunct Professor at Boston University School of Law since August 2023, JD also has a background in regulatory compliance roles at organizations such as the Federal Reserve Bank of Boston, Robinhood, Envel, Circle, Santander US, and PayPal. JD holds a Bachelor of Arts in Communication and Media Studies from Emerson College, earned between 2003 and 2007, and has specialized expertise in compliance, risk management, and data privacy.
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Fidelity
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Fidelity is a privately owned investment manager. It also provides IRAs, 401(k) rollovers, annuities, discount brokerage services, retirement services, estate planning, wealth management, securities execution and clearance, and life insurance services to its clients. Fidelity provides its services to individual investors, businesses, financial advisors, and institutions. It manages equity, fixed income, and balanced mutual funds. Fidelity invests in the public equity and fixed income markets across the globe. It conducts in-house research to make its investments. Fidelity operates as a subsidiary of FMR LLC. It began operation in 1946, with its headquarters in Boston in Massachusetts.