Steve Lemire

Chief Compliance Officer at Smead Capital Management

Steve LeMire is an experienced finance professional currently serving as Chief Compliance Officer at Smead Capital Management since July 2014. In this role, Steve oversees compliance for various entities, including Smead Funds Trust and Smead US Value UCITS Fund, while also acting as Shareholder and Principal at Smead Capital Management. Previous experience includes positions such as Relationship Manager at Viceroy Investment Advisors LLC, Co-founder and Managing Principal at HCL Advisors, Senior Manager and Director at UBS Global Asset Management, Consultant at Two Rivers Capital, Vice President at Oberweis Asset Management, and Manager of Shareholder Accounting at Carr Asset Management. Educational background includes a Bachelor of Arts in Economics from the University of Iowa.

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Phoenix, United States

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Smead Capital Management

At Smead Capital Management, we are stock market investors. Our investors are individuals, advisors, family offices and institutions globally who invest with the firm through its mutual funds, separate accounts and other investment vehicles. We advise investors that fear stock market failure through a low-turnover, differentiated value discipline seeking wonderful companies to build wealth.


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11-50

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