董事介绍

注:董事持股数取自最新公司公告

姓名 性别 职位 年龄 薪酬 持股数(万股) 截止日期
Joseph V. Tripodi Director 60 19.25万美元 未持股 2016-04-11
Byron H. Pollitt, Jr. Director 64 10.06万美元 未持股 2016-04-11
Deborah C. Wright Director 58 26.99万美元 未持股 2016-04-11
Deborah C. Wright Director 58 未披露 未持股 2016-04-11
J. Barry Griswell Director 66 29.50万美元 未持股 2016-04-11
David Zwiener Director 61 27.50万美元 未持股 2016-04-11
Ruth Ann M. Gillis Director 61 12.56万美元 未持股 2016-04-11
Frederick S. Hubbell Director 64 28.00万美元 未持股 2016-04-11
Rodney O. Martin, Jr. Chairman of the Board and CEO 63 1124.44万美元 未持股 2016-04-11
Lynne Biggar Director 53 25.95万美元 未持股 2016-04-11
Jane Chwick Director 53 24.75万美元 未持股 2016-04-11
Jane P. Chwick Director 53 未披露 未持股 2016-04-11

高管介绍

注:高管持股数取自最新公司公告

姓名 性别 职位 年龄 薪酬 持股数(万股) 截止日期
Charles P. Nelson Chief Executive Officer, Retirement 54 469.93万美元 未持股 2016-04-11
Patricia J. Walsh Executive Vice President and Chief Legal Officer 50 未披露 未持股 2016-04-11
Alain M. Karaoglan Executive Vice President and Chief Operating 53 590.14万美元 未持股 2016-04-11
Ewout L. Steenbergen Executive Vice President and Chief Financial Officer 46 457.57万美元 未持股 2016-04-11
Jeffrey T. Becker Chief Executive Officer, Investment Management 50 504.42万美元 未持股 2016-04-11
Kevin D. Silva Executive Vice President and Chief Human Resources Officer 62 未披露 未持股 2016-04-11
Michael S. Smith Chief Executive Officer, Insurance Solutions and Closed Block Variable Annuities 52 264.92万美元 未持股 2016-04-11
Rodney O. Martin, Jr. Chairman of the Board and CEO 63 1124.44万美元 未持股 2016-04-11
Chetlur S. Ragavan Executive Vice President and Chief Risk Officer 61 未披露 未持股 2016-04-11

董事简历

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Joseph V. Tripodi

Joseph V. Tripodi自2015年4月起担任公司董事。Tripodi自2015年12月起担任The Subway Corporation首席营销官。在此之前,Tripodi从2007年到2015年2月担任The Coca-Cola Company执行副总裁和首席营销&商务官。2007年加入The Coca-Cola Company,在此之前Tripodi从2003年到2007年担任Allstate Insurance Company高级副总裁和首席营销官。Tripodi之前还曾于2002年起担任The Bank of New York首席营销官;1999年到2002年担任Seagram Spirits & Wine首席营销官。加入Seagram之前,Tripodi在MasterCard International担任多个营销职位,包括从1989年到1998年担任全球营销、产品和服务执行副总裁。Tripodi持有Harvard College文学学士学位以及The London School of Economics工商管理硕士学位。


Joseph V. Tripodi has been a director of the Company since April 2015. Mr. Tripodi has been the Chief Marketing Officer of The Subway Corporation since December 2015. Prior to that, Mr. Tripodi was the Executive Vice President and Chief Marketing & Commercial Officer of The Coca-Cola Company from 2007 to February 2015. Prior to joining The Coca-Cola Company in 2007 Mr. Tripodi was Senior Vice President and Chief Marketing Officer of Allstate Insurance Company from 2003 to 2007. Mr. Tripodi also previously served as Chief Marketing Officer for The Bank of New York in 2002 and Seagram Spirits & Wine from 1999 to 2002. Prior to joining Seagram, Mr. Tripodi held several marketing roles at MasterCard International, including serving as its Executive Vice President, Global Marketing, Products and Services from 1989 to 1998. Mr. Tripodi holds a B.A. from Harvard College and an M.S. from The London School of Economics.
Joseph V. Tripodi自2015年4月起担任公司董事。Tripodi自2015年12月起担任The Subway Corporation首席营销官。在此之前,Tripodi从2007年到2015年2月担任The Coca-Cola Company执行副总裁和首席营销&商务官。2007年加入The Coca-Cola Company,在此之前Tripodi从2003年到2007年担任Allstate Insurance Company高级副总裁和首席营销官。Tripodi之前还曾于2002年起担任The Bank of New York首席营销官;1999年到2002年担任Seagram Spirits & Wine首席营销官。加入Seagram之前,Tripodi在MasterCard International担任多个营销职位,包括从1989年到1998年担任全球营销、产品和服务执行副总裁。Tripodi持有Harvard College文学学士学位以及The London School of Economics工商管理硕士学位。
Joseph V. Tripodi has been a director of the Company since April 2015. Mr. Tripodi has been the Chief Marketing Officer of The Subway Corporation since December 2015. Prior to that, Mr. Tripodi was the Executive Vice President and Chief Marketing & Commercial Officer of The Coca-Cola Company from 2007 to February 2015. Prior to joining The Coca-Cola Company in 2007 Mr. Tripodi was Senior Vice President and Chief Marketing Officer of Allstate Insurance Company from 2003 to 2007. Mr. Tripodi also previously served as Chief Marketing Officer for The Bank of New York in 2002 and Seagram Spirits & Wine from 1999 to 2002. Prior to joining Seagram, Mr. Tripodi held several marketing roles at MasterCard International, including serving as its Executive Vice President, Global Marketing, Products and Services from 1989 to 1998. Mr. Tripodi holds a B.A. from Harvard College and an M.S. from The London School of Economics.
Byron H. Pollitt, Jr.

Byron H. Pollitt, Jr.自2015年7月起担任公司董事。Pollitt于2007年2015年担任Visa Inc.首席财务官。Pollitt从2003年到2007年担任Gap Inc.执行副总裁和首席财务官。1990年到2003年在The Walt Disney Company担任多个高级领导职位。除了从1999年到2003年担任Walt Disney Parks and Resorts执行副总裁和首席财务官之外,他之前还曾担任Disneyland Resort高级副总裁和首席财务官;企业规划副总裁。2015年12月Pollitt被任命为the International Federation of Red Cross and Red Crescent Societies财务专员。Pollitt从2005年到2014年担任American Red Cross Bay Area董事;1997年到1999年担任Orange County董事。Pollitt持有University of California-Riverside商业经济学学士学位;Harvard Business School工商管理硕士学位。


Byron H. Pollitt, Jr. has been a director of the Company since July 2015. Mr. Pollitt was the Chief Financial Officer of Visa Inc. from 2007 to 2015. From 2003 to 2007 Mr. Pollitt served as Executive Vice President and Chief Financial Officer of Gap Inc. From 1990 to 2003 Mr. Pollitt held a number of senior leadership roles at The Walt Disney Company. In addition to serving as Executive Vice President and Chief Financial Officer for Walt Disney Parks and Resorts from 1999 to 2003 Mr. Pollitt also previously served as Senior Vice President and Chief Financial Officer for Disneyland Resort and Vice President of Corporate Planning. In December 2015 Mr. Pollitt was appointed to the Finance Commission of the International Federation of Red Cross and Red Crescent Societies. Mr. Pollitt served on the boards of American Red Cross Bay Area between 2005 and 2014 and Orange County between 1997 and 1999. Mr. Pollitt received a bachelor’s degree in business economics from the University of California-Riverside and an MBA from Harvard Business School.
Byron H. Pollitt, Jr.自2015年7月起担任公司董事。Pollitt于2007年2015年担任Visa Inc.首席财务官。Pollitt从2003年到2007年担任Gap Inc.执行副总裁和首席财务官。1990年到2003年在The Walt Disney Company担任多个高级领导职位。除了从1999年到2003年担任Walt Disney Parks and Resorts执行副总裁和首席财务官之外,他之前还曾担任Disneyland Resort高级副总裁和首席财务官;企业规划副总裁。2015年12月Pollitt被任命为the International Federation of Red Cross and Red Crescent Societies财务专员。Pollitt从2005年到2014年担任American Red Cross Bay Area董事;1997年到1999年担任Orange County董事。Pollitt持有University of California-Riverside商业经济学学士学位;Harvard Business School工商管理硕士学位。
Byron H. Pollitt, Jr. has been a director of the Company since July 2015. Mr. Pollitt was the Chief Financial Officer of Visa Inc. from 2007 to 2015. From 2003 to 2007 Mr. Pollitt served as Executive Vice President and Chief Financial Officer of Gap Inc. From 1990 to 2003 Mr. Pollitt held a number of senior leadership roles at The Walt Disney Company. In addition to serving as Executive Vice President and Chief Financial Officer for Walt Disney Parks and Resorts from 1999 to 2003 Mr. Pollitt also previously served as Senior Vice President and Chief Financial Officer for Disneyland Resort and Vice President of Corporate Planning. In December 2015 Mr. Pollitt was appointed to the Finance Commission of the International Federation of Red Cross and Red Crescent Societies. Mr. Pollitt served on the boards of American Red Cross Bay Area between 2005 and 2014 and Orange County between 1997 and 1999. Mr. Pollitt received a bachelor’s degree in business economics from the University of California-Riverside and an MBA from Harvard Business School.
Deborah C. Wright

Deborah C. Wright,担任Carver Bancorp, Inc.的董事长(2005年至2016年)、Carver Bancorp, Inc.和Carver Federal Savings Bank的总裁兼首席执行官(1999年至2014年)、the Upper Manhattan Empowerment Zone Development Corporation(重建基金)的总裁兼首席执行官(1996年至1999年)、住房保护与发展司(the Department of Housing Preservation and Development)专员(1994年至1996年)、the New York City Housing Authority的董事会成员(1992年至1994年),也曾任职于the New York City Planning Commission(1990年至1992年)。在过去的五年中,Wright女士担任卡夫食品公司(现在的Mondelēz国际公司)和卡夫食品集团的董事。


Deborah C. Wright, Managing Director of U.S. Jobs and Economic Opportunity, Rockefeller Foundation - 2018 to 2020. Chairman, Carver Bancorp, Inc. - 2005 to 2016. President and Chief Executive Officer of Carver Bancorp, Inc. and Carver Federal Savings Bank - 1999 to 2014. President and Chief Executive Officer of the Upper Manhattan Empowerment Zone Development Corporation, a redevelopment fund - 1996 to 1999. Commissioner of the Department of Housing Preservation and Development - 1994 to 1996. Member of the New York City Housing Authority Board - 1992 to 1994 and served on the New York City Planning Commission - 1990 to 1992.
Deborah C. Wright,担任Carver Bancorp, Inc.的董事长(2005年至2016年)、Carver Bancorp, Inc.和Carver Federal Savings Bank的总裁兼首席执行官(1999年至2014年)、the Upper Manhattan Empowerment Zone Development Corporation(重建基金)的总裁兼首席执行官(1996年至1999年)、住房保护与发展司(the Department of Housing Preservation and Development)专员(1994年至1996年)、the New York City Housing Authority的董事会成员(1992年至1994年),也曾任职于the New York City Planning Commission(1990年至1992年)。在过去的五年中,Wright女士担任卡夫食品公司(现在的Mondelēz国际公司)和卡夫食品集团的董事。
Deborah C. Wright, Managing Director of U.S. Jobs and Economic Opportunity, Rockefeller Foundation - 2018 to 2020. Chairman, Carver Bancorp, Inc. - 2005 to 2016. President and Chief Executive Officer of Carver Bancorp, Inc. and Carver Federal Savings Bank - 1999 to 2014. President and Chief Executive Officer of the Upper Manhattan Empowerment Zone Development Corporation, a redevelopment fund - 1996 to 1999. Commissioner of the Department of Housing Preservation and Development - 1994 to 1996. Member of the New York City Housing Authority Board - 1992 to 1994 and served on the New York City Planning Commission - 1990 to 1992.
Deborah C. Wright

Deborah C. Wright,2005年2月至今,一直担任卡弗合众银行公司的董事长兼首席执行官。卡弗合众银行公司是卡弗联邦储蓄银行的控股公司,由联邦政府特许的储蓄银行。之前的专业经验:1999年至2005年,赖特女士一直担任卡弗合众银行公司和卡弗联邦储蓄银行的总裁兼首席执行官;1996年至1999年,担任曼哈顿上授权区开发公司的总裁兼首席执行官;1994年至1996年,担任住房保护和发展委员会的专员;1992年至1994年,担任纽约房屋委员会的成员;1990年到1992年,担任纽约城市规划委员会的成员。上市公司的管理职位:赖特女士卡弗合众银行公司的董事。在过去的五年中,赖特女士担任卡夫食品公司(现在的Mondelēz国际公司)和卡夫食品集团的董事。


Deborah C. Wright served as Non-Executive Chairman of Carver Bancorp, Inc. from January 2015 through December 2016; a Senior Fellow in the Economic Opportunity and Assets Division of the Ford Foundation from January 2015 through June 2016; Chairman and Chief Executive Officer of Carver Bancorp, Inc. from February 2005 through December 2014; President and Chief Executive Officer of Carver Bancorp, Inc. and Carver Federal Savings Bank from 1999 to 2005; President and Chief Executive Officer of the Upper Manhattan Empowerment Zone Development Corporation from 1996 to 1999; Commissioner of the Department of Housing Preservation and Development from 1994 to 1996; a member of the New York City Housing Authority Board from 1992 to 1994; and a member of the New York City Planning Commission from 1990 to 1992.
Deborah C. Wright,2005年2月至今,一直担任卡弗合众银行公司的董事长兼首席执行官。卡弗合众银行公司是卡弗联邦储蓄银行的控股公司,由联邦政府特许的储蓄银行。之前的专业经验:1999年至2005年,赖特女士一直担任卡弗合众银行公司和卡弗联邦储蓄银行的总裁兼首席执行官;1996年至1999年,担任曼哈顿上授权区开发公司的总裁兼首席执行官;1994年至1996年,担任住房保护和发展委员会的专员;1992年至1994年,担任纽约房屋委员会的成员;1990年到1992年,担任纽约城市规划委员会的成员。上市公司的管理职位:赖特女士卡弗合众银行公司的董事。在过去的五年中,赖特女士担任卡夫食品公司(现在的Mondelēz国际公司)和卡夫食品集团的董事。
Deborah C. Wright served as Non-Executive Chairman of Carver Bancorp, Inc. from January 2015 through December 2016; a Senior Fellow in the Economic Opportunity and Assets Division of the Ford Foundation from January 2015 through June 2016; Chairman and Chief Executive Officer of Carver Bancorp, Inc. from February 2005 through December 2014; President and Chief Executive Officer of Carver Bancorp, Inc. and Carver Federal Savings Bank from 1999 to 2005; President and Chief Executive Officer of the Upper Manhattan Empowerment Zone Development Corporation from 1996 to 1999; Commissioner of the Department of Housing Preservation and Development from 1994 to 1996; a member of the New York City Housing Authority Board from 1992 to 1994; and a member of the New York City Planning Commission from 1990 to 1992.
J. Barry Griswell

J. Barry Griswell,他是the Principal Financial Group and Principal Life公司(一个全球金融服务供应商,提供范围广泛的保险和金融产品和服务)的前任董事长兼首席执行官。他拥有超过30年的金融服务经验,在加入the Principal Financial Group之前,曾担任MetLife Marketing Corporation的总裁兼首席执行官。他是the Principal Financial Group公司的董事,以及其董事会的非执行董事长。他目前担任National Financial Partners公司和Och-Ziff Capital Management公司的董事,也曾担任两家公司的高管薪酬委员会主席。


J. Barry Griswell is the retired chairman and chief executive officer of the Principal Financial Group and Principal Life, a global financial services provider which offers a wide range of insurance and financial products and services. With more than thirty years of financial services experience, Mr. Griswell was the president and CEO of MetLife Marketing Corporation prior to joining The Principal. He is a former director and non-executive chairman of the board of the Principal Financial Group. Mr. Griswell is a director of Voya Financial, where he serves on the Executive Committee and as chair of the Risk, Investment and Finance Committee.
J. Barry Griswell,他是the Principal Financial Group and Principal Life公司(一个全球金融服务供应商,提供范围广泛的保险和金融产品和服务)的前任董事长兼首席执行官。他拥有超过30年的金融服务经验,在加入the Principal Financial Group之前,曾担任MetLife Marketing Corporation的总裁兼首席执行官。他是the Principal Financial Group公司的董事,以及其董事会的非执行董事长。他目前担任National Financial Partners公司和Och-Ziff Capital Management公司的董事,也曾担任两家公司的高管薪酬委员会主席。
J. Barry Griswell is the retired chairman and chief executive officer of the Principal Financial Group and Principal Life, a global financial services provider which offers a wide range of insurance and financial products and services. With more than thirty years of financial services experience, Mr. Griswell was the president and CEO of MetLife Marketing Corporation prior to joining The Principal. He is a former director and non-executive chairman of the board of the Principal Financial Group. Mr. Griswell is a director of Voya Financial, where he serves on the Executive Committee and as chair of the Risk, Investment and Finance Committee.
David Zwiener

David Zwiener,是Dowling Capital Partners 董事长,2013年被任命为 ING U.S。董事,审计委员会主席。 Zwiener先生还是新英国美国艺术博物馆的受托人。从1997年到2007年, Zwiener先生是Hartford Financial Services Group Inc. 财产保险业务的总裁兼首席运营官, 从2007年到2008年,是 Carlyle Group金融机构集团的董事总经理和联席主席,也是Wachovia Corporation 首席财务官,一直到2009年。


David Zwiener joined the Board in 2016. He was named Lead Independent Director in July of 2017. Mr. Zwiener is an Operating Executive of The Carlyle Group. From January 25 2015 to March 18 2016 Mr. Zwiener was Interim CEO at PartnerRe Ltd. Since 2010 Mr. Zwiener has been a Principal in Dowling Capital Partners. Prior to joining Dowling Capital Partners, Mr. Zwiener was Chief Financial Officer of Wachovia Corporation. From 1995 to 2007 Mr. Zwiener served in increasingly responsible positions at The Hartford, rising to President and Chief Operating Officer-Property & Casualty. He previously served as a director of CNO Financial Group, The Hartford and Sheridan Healthcare, Inc. Mr. Zwiener received an A.B. degree from Duke University and an M.B.A. from the Kellogg School of Management at Northwestern University.
David Zwiener,是Dowling Capital Partners 董事长,2013年被任命为 ING U.S。董事,审计委员会主席。 Zwiener先生还是新英国美国艺术博物馆的受托人。从1997年到2007年, Zwiener先生是Hartford Financial Services Group Inc. 财产保险业务的总裁兼首席运营官, 从2007年到2008年,是 Carlyle Group金融机构集团的董事总经理和联席主席,也是Wachovia Corporation 首席财务官,一直到2009年。
David Zwiener joined the Board in 2016. He was named Lead Independent Director in July of 2017. Mr. Zwiener is an Operating Executive of The Carlyle Group. From January 25 2015 to March 18 2016 Mr. Zwiener was Interim CEO at PartnerRe Ltd. Since 2010 Mr. Zwiener has been a Principal in Dowling Capital Partners. Prior to joining Dowling Capital Partners, Mr. Zwiener was Chief Financial Officer of Wachovia Corporation. From 1995 to 2007 Mr. Zwiener served in increasingly responsible positions at The Hartford, rising to President and Chief Operating Officer-Property & Casualty. He previously served as a director of CNO Financial Group, The Hartford and Sheridan Healthcare, Inc. Mr. Zwiener received an A.B. degree from Duke University and an M.B.A. from the Kellogg School of Management at Northwestern University.
Ruth Ann M. Gillis

Ruth Ann M. Gillis,于2014年退休,担任艾索伦电力公司执行副总裁兼首席行政官一职,艾索伦电力公司是一家从事能源发电和输送的公用事业服务控股公司。她还是艾索伦商业服务公司的总裁,艾索伦商业服务公司是艾索伦的子公司,为艾索伦的运营公司提供交易和企业服务。此前担任的职务包括担任艾索伦子公司COMED的执行副总裁,以及艾索伦的首席财务官。在此次合并形成艾索伦之前,Gillis女士是联通公司的首席财务官,联通公司是一家电力的生产商、采购商、发射商、分销商和销售商。她还担任KeyCorp和Voya Financial, Inc.的董事。Gillis女士拥有史密斯学院经济学文学学士学位和芝加哥大学商学院工商管理硕士学位。


Ruth Ann M. Gillis,retired in 2014 as Executive Vice President and Chief Administrative Officer of Exelon Corporation, a utility services holding company engaged in energy generation and delivery. She was also President of Exelon Business Services Company, a subsidiary of Exelon that provides transactional and corporate services to Exelon's operating companies. Previous roles included service as Executive Vice President of ComEd, an Exelon subsidiary, and as the Chief Financial Officer of Exelon. Prior to the merger that formed Exelon, Ms. Gillis was the Chief Financial Officer of Unicom Corp., a producer, purchaser, transmitter, distributor and seller of electricity. She also serves as a director of KeyCorp and Voya Financial, Inc. Ms. Gillis earned a Bachelor of Arts degree in economics from Smith College and a Master of Business Administration degree from the University of Chicago Graduate School of Business.
Ruth Ann M. Gillis,于2014年退休,担任艾索伦电力公司执行副总裁兼首席行政官一职,艾索伦电力公司是一家从事能源发电和输送的公用事业服务控股公司。她还是艾索伦商业服务公司的总裁,艾索伦商业服务公司是艾索伦的子公司,为艾索伦的运营公司提供交易和企业服务。此前担任的职务包括担任艾索伦子公司COMED的执行副总裁,以及艾索伦的首席财务官。在此次合并形成艾索伦之前,Gillis女士是联通公司的首席财务官,联通公司是一家电力的生产商、采购商、发射商、分销商和销售商。她还担任KeyCorp和Voya Financial, Inc.的董事。Gillis女士拥有史密斯学院经济学文学学士学位和芝加哥大学商学院工商管理硕士学位。
Ruth Ann M. Gillis,retired in 2014 as Executive Vice President and Chief Administrative Officer of Exelon Corporation, a utility services holding company engaged in energy generation and delivery. She was also President of Exelon Business Services Company, a subsidiary of Exelon that provides transactional and corporate services to Exelon's operating companies. Previous roles included service as Executive Vice President of ComEd, an Exelon subsidiary, and as the Chief Financial Officer of Exelon. Prior to the merger that formed Exelon, Ms. Gillis was the Chief Financial Officer of Unicom Corp., a producer, purchaser, transmitter, distributor and seller of electricity. She also serves as a director of KeyCorp and Voya Financial, Inc. Ms. Gillis earned a Bachelor of Arts degree in economics from Smith College and a Master of Business Administration degree from the University of Chicago Graduate School of Business.
Frederick S. Hubbell

Frederick S. Hubbell,2012年被任命为的董事。他目前是本公司的首席董事(请查阅以下的“Lead Director”)、提名与治理委员会主席。成为本公司的董事之前,他在2012年担任ING Group潜在撤资交易的独立顾问。2000-2006,他担任ING Group的执行委员会成员;2004-2006,担任ING Group的美洲保险与资产管理董事长。1999-2000,他是ING Group国际金融服务的执行委员会成员;1997-1999,担任ING Group美国人寿与年金业务的首席执行官。1989年,他成为Equitable Life Insurance Company of Iowa的总裁、首席执行官;1993年,成为其董事长;担任以上两职直到1997年ING Group收购Equitable。1985-1992,他是零售百货公司Younkers的董事长;1983-1985,担任Equitable Life Insurance Company of Iowa的战略规划总监。职业生涯之初,他是一名律师,在1976-1978年间,任职于Dewey, Ballantine, Bushby, Palmer & Wood LLP;1978-1981,任职于Hughes Hubbard and Reed LLP;1981-1983,担任Mumford, Schrage, Merriman and Zurek的合伙人。1973年,他在University of North Carolina, Chapel Hill获得学士学位;1976年,在University of Iowa获得法律博士学位。他目前是The Macerich Company、Community Foundation of Greater Des Moines 和Simpson College的董事。


Frederick S. Hubbell has been a director of the Company since 2012. Mr. Hubbell serves as our Lead Director see below “-Lead Director” and as Chairman of our Nominating and Governance Committee (see “-Board Committees-Nominating and Governance Committee”). During 2012 prior to his appointment to our Board of Directors, Mr. Hubbell was an independent advisor to ING Group for approximately nine months in its consideration of potential transactions to divest us from ING Group. He served as a member of the Executive Board of ING Group from 2000 to 2006 and was Chairman of Insurance and Asset Management Americas for ING Group from 2004 to 2006. Mr. Hubbell was a member of the Executive Committee of Financial Services International for ING Group from 1999 to 2000 and served as President and Chief Executive Officer of the United States Life and Annuities Operations for ING Group from 1997 to 1999. He became President and Chief Executive Officer of Equitable Life Insurance Company of Iowa in 1989 and Chairman in 1993 and served in both roles until ING Group’s acquisition of Equitable in 1997. Mr. Hubbell was Chairman of Younkers, a retail department store business from 1985 to 1992. He was head of strategic planning of Equitable Life Insurance Company of Iowa from 1983 to 1985. Mr. Hubbell began his career as a lawyer in the United States at Dewey, Ballantine, Bushby, Palmer & Wood LLP from 1976 to 1978 and also practiced at Hughes Hubbard and Reed LLP from 1978 to 1981 and was a partner at Mumford, Schrage, Merriman and Zurek from 1981 to 1983. Mr. Hubbell received his B.A. from University of North Carolina, Chapel Hill in 1973 and his J.D. from University of Iowa in 1976. He serves on the Board of Directors of The Macerich Company, the Board of Directors of the Community Foundation of Greater Des Moines, and the Board of Trustees of Simpson College.
Frederick S. Hubbell,2012年被任命为的董事。他目前是本公司的首席董事(请查阅以下的“Lead Director”)、提名与治理委员会主席。成为本公司的董事之前,他在2012年担任ING Group潜在撤资交易的独立顾问。2000-2006,他担任ING Group的执行委员会成员;2004-2006,担任ING Group的美洲保险与资产管理董事长。1999-2000,他是ING Group国际金融服务的执行委员会成员;1997-1999,担任ING Group美国人寿与年金业务的首席执行官。1989年,他成为Equitable Life Insurance Company of Iowa的总裁、首席执行官;1993年,成为其董事长;担任以上两职直到1997年ING Group收购Equitable。1985-1992,他是零售百货公司Younkers的董事长;1983-1985,担任Equitable Life Insurance Company of Iowa的战略规划总监。职业生涯之初,他是一名律师,在1976-1978年间,任职于Dewey, Ballantine, Bushby, Palmer & Wood LLP;1978-1981,任职于Hughes Hubbard and Reed LLP;1981-1983,担任Mumford, Schrage, Merriman and Zurek的合伙人。1973年,他在University of North Carolina, Chapel Hill获得学士学位;1976年,在University of Iowa获得法律博士学位。他目前是The Macerich Company、Community Foundation of Greater Des Moines 和Simpson College的董事。
Frederick S. Hubbell has been a director of the Company since 2012. Mr. Hubbell serves as our Lead Director see below “-Lead Director” and as Chairman of our Nominating and Governance Committee (see “-Board Committees-Nominating and Governance Committee”). During 2012 prior to his appointment to our Board of Directors, Mr. Hubbell was an independent advisor to ING Group for approximately nine months in its consideration of potential transactions to divest us from ING Group. He served as a member of the Executive Board of ING Group from 2000 to 2006 and was Chairman of Insurance and Asset Management Americas for ING Group from 2004 to 2006. Mr. Hubbell was a member of the Executive Committee of Financial Services International for ING Group from 1999 to 2000 and served as President and Chief Executive Officer of the United States Life and Annuities Operations for ING Group from 1997 to 1999. He became President and Chief Executive Officer of Equitable Life Insurance Company of Iowa in 1989 and Chairman in 1993 and served in both roles until ING Group’s acquisition of Equitable in 1997. Mr. Hubbell was Chairman of Younkers, a retail department store business from 1985 to 1992. He was head of strategic planning of Equitable Life Insurance Company of Iowa from 1983 to 1985. Mr. Hubbell began his career as a lawyer in the United States at Dewey, Ballantine, Bushby, Palmer & Wood LLP from 1976 to 1978 and also practiced at Hughes Hubbard and Reed LLP from 1978 to 1981 and was a partner at Mumford, Schrage, Merriman and Zurek from 1981 to 1983. Mr. Hubbell received his B.A. from University of North Carolina, Chapel Hill in 1973 and his J.D. from University of Iowa in 1976. He serves on the Board of Directors of The Macerich Company, the Board of Directors of the Community Foundation of Greater Des Moines, and the Board of Trustees of Simpson College.
Rodney O. Martin, Jr.

Rodney O. Martin, Jr.,2011年4月起,担任Voya Financial的首席执行官、董事。自本公司首次公开发行结束之时起,他担任董事长,直到2013年5月;他也是执行委员会的主席。他目前全面负责Voya Financial的战略和绩效。刚进入保险行业时,他是Connecticut Mutual Life Insurance Company的一名代理人;在1975年2月至1995年8月期间,他在该公司担任过各种营销和管理的职务,最后的职务是Connecticut Mutual Life Insurance Services的总裁。1995年,他加入American General Life Companies,担任总裁、首席执行官;他在该公司经营着美国的人寿保险业务,直到2001年该业务被American International Group AIG收购。他在AIG担任过愈益重要的多个职务,包括AIG Worldwide Life Insurance的首席运营官、American Life Insurance Company的董事长及首席执行官、American International Assurance的董事长,最后的是AIG's International Life and Retirement Services businesses董事长,任期在2010年11月结束。他在纽约Alfred的Alfred University获得工商管理学士学位,是 Life Underwriter Training Council的资深会员。他目前是ACLI 和 LIMRA的董事。


Rodney O. Martin, Jr. has been our chief executive officer and a director of the Company since 2011. Mr. Martin was appointed Chairman of the board of directors upon completion of our initial public offering in May 2013 and also serves as chairman of the board’s Executive Committee. As Chief Executive Officer, Mr. Martin is responsible for the overall strategy and performance of the Company. Mr. Martin began his insurance career as an agent with Connecticut Mutual Life Insurance Company, where, from February 1975 to August 1995 he served in various marketing and management positions. Mr. Martin ultimately advanced to become president of Connecticut Mutual Insurance Services. In 1995 Mr. Martin joined the American General Life Companies as president and chief executive officer where he ran the U.S. life insurance businesses until they were acquired by American International Group, Inc. “AIG”, in 2001. At AIG, Mr. Martin held positions of increasing responsibility, from chief operating officer of AIG Worldwide Life Insurance, chairman and chief executive officer of American Life Insurance Company, chairman of American International Assurance, and most recently, chairman of AIG’s International Life and Retirement Services businesses until November 2010. Mr. Martin received his bachelor’s degree in business administration from Alfred University in Alfred, N.Y., and is also a Life Underwriter Training Council Fellow. Mr. Martin has served on the Boards of Directors of American Council of Life Insurers and LIMRA.
Rodney O. Martin, Jr.,2011年4月起,担任Voya Financial的首席执行官、董事。自本公司首次公开发行结束之时起,他担任董事长,直到2013年5月;他也是执行委员会的主席。他目前全面负责Voya Financial的战略和绩效。刚进入保险行业时,他是Connecticut Mutual Life Insurance Company的一名代理人;在1975年2月至1995年8月期间,他在该公司担任过各种营销和管理的职务,最后的职务是Connecticut Mutual Life Insurance Services的总裁。1995年,他加入American General Life Companies,担任总裁、首席执行官;他在该公司经营着美国的人寿保险业务,直到2001年该业务被American International Group AIG收购。他在AIG担任过愈益重要的多个职务,包括AIG Worldwide Life Insurance的首席运营官、American Life Insurance Company的董事长及首席执行官、American International Assurance的董事长,最后的是AIG's International Life and Retirement Services businesses董事长,任期在2010年11月结束。他在纽约Alfred的Alfred University获得工商管理学士学位,是 Life Underwriter Training Council的资深会员。他目前是ACLI 和 LIMRA的董事。
Rodney O. Martin, Jr. has been our chief executive officer and a director of the Company since 2011. Mr. Martin was appointed Chairman of the board of directors upon completion of our initial public offering in May 2013 and also serves as chairman of the board’s Executive Committee. As Chief Executive Officer, Mr. Martin is responsible for the overall strategy and performance of the Company. Mr. Martin began his insurance career as an agent with Connecticut Mutual Life Insurance Company, where, from February 1975 to August 1995 he served in various marketing and management positions. Mr. Martin ultimately advanced to become president of Connecticut Mutual Insurance Services. In 1995 Mr. Martin joined the American General Life Companies as president and chief executive officer where he ran the U.S. life insurance businesses until they were acquired by American International Group, Inc. “AIG”, in 2001. At AIG, Mr. Martin held positions of increasing responsibility, from chief operating officer of AIG Worldwide Life Insurance, chairman and chief executive officer of American Life Insurance Company, chairman of American International Assurance, and most recently, chairman of AIG’s International Life and Retirement Services businesses until November 2010. Mr. Martin received his bachelor’s degree in business administration from Alfred University in Alfred, N.Y., and is also a Life Underwriter Training Council Fellow. Mr. Martin has served on the Boards of Directors of American Council of Life Insurers and LIMRA.
Lynne Biggar

Lynne Biggar,她担任执行副总裁,负责消费者营销和收入(2013年11月以来)。此前,她曾担任American Express公司的执行副总裁和总经理,负责国际卡产品和体验(始于2012年1月)。从2009年8月到2012年1月,她曾担任American Express公司的会员奖励和战略卡服务部门的执行副总裁和总经理。此前,她曾领导American Express公司的消费者旅游业务(从2005年1月到2009年7月)。1992年任职American Express公司之前,她曾担任多种国际战略和营销职务。


Lynne Biggar, is an independent member of the Board. Born in 1962, she is a US citizen and graduated from Stanford University with a Bachelor's Degree in International Relations and holds an MBA from Columbia Business School. She is a Senior Advisor at the Boston Consulting Group and is an independent Board director of Voya Financial, Inc., a leading health, wealth and investment company based in the US, of Hiscox Group, a global specialty insurer traded on the LSE, and of Finastra, a private equity owned financial services software company headquartered in the UK. She is also an independent Executive Committee member of Leading Hotels of the World. Ms. Biggar was Executive Vice President and Global Chief Marketing Officer at Visa from 2016 to 2022. Prior to joining Visa, she served as executive vice president of consumer marketing and revenue for Time, Inc., and before that, she spent more than 20 years at American Express in a variety of leadership positions. Ms. Biggar is also a Board member of The New 42nd Street and the global media trade group MMA Global.
Lynne Biggar,她担任执行副总裁,负责消费者营销和收入(2013年11月以来)。此前,她曾担任American Express公司的执行副总裁和总经理,负责国际卡产品和体验(始于2012年1月)。从2009年8月到2012年1月,她曾担任American Express公司的会员奖励和战略卡服务部门的执行副总裁和总经理。此前,她曾领导American Express公司的消费者旅游业务(从2005年1月到2009年7月)。1992年任职American Express公司之前,她曾担任多种国际战略和营销职务。
Lynne Biggar, is an independent member of the Board. Born in 1962, she is a US citizen and graduated from Stanford University with a Bachelor's Degree in International Relations and holds an MBA from Columbia Business School. She is a Senior Advisor at the Boston Consulting Group and is an independent Board director of Voya Financial, Inc., a leading health, wealth and investment company based in the US, of Hiscox Group, a global specialty insurer traded on the LSE, and of Finastra, a private equity owned financial services software company headquartered in the UK. She is also an independent Executive Committee member of Leading Hotels of the World. Ms. Biggar was Executive Vice President and Global Chief Marketing Officer at Visa from 2016 to 2022. Prior to joining Visa, she served as executive vice president of consumer marketing and revenue for Time, Inc., and before that, she spent more than 20 years at American Express in a variety of leadership positions. Ms. Biggar is also a Board member of The New 42nd Street and the global media trade group MMA Global.
Jane Chwick

Jane Chwick,自2017年起担任People's United的董事,直到2022年4月,她在M&T收购People's United完成后加入M&T董事会。她曾担任Goldman Sachs的合伙人,在那里她有30年的技术职业生涯,包括最近担任技术部门的联席首席运营官。作为联合首席运营官,Chwick女士负责财务业务规划,制定技术战略和管理公司内8,000人的组织。在高盛任职期间,她还担任许多治理委员会的成员,包括公司的财务委员会、公司范围的新活动委员会和技术风险委员会,她是技术部门运营委员会的联合主席。Chwick女士也是Trewtec, Inc.的联合创始人和联合首席执行官,为公司董事、首席执行官和首席技术官提供信息,以改善他们对公司技术部门的监督。她是Voya Financial(纽约证券交易所代码:Voya)和MarketAxess Holdings Inc.(纳斯达克代码:MKTX)的董事。在Voya Financial,她是技术、创新和运营委员会主席,风险、投资和财务委员会成员,以及提名、治理和社会责任委员会成员。在MarketAxess,她是风险委员会主席和提名和治理委员会成员。Chwick女士是董事会审计委员会的成员,也是董事会风险委员会的一个小组委员会的成员,专注于网络安全和技术风险。她也是M&T子公司M&T Bank的董事,以及其审查委员会的成员。Chwick先生在全球金融服务公司积累了丰富的技术经验,并结合了战略视角和对金融服务行业的深入了解。她持有Queens College的数学学士学位,以及St. John's 大学的工商管理硕士学位(专注于定量分析)。


Jane Chwick,was most recently the Co-Founder and Co-CEO of Trewtec, Inc., a technology advisory firm designed to help board members and CEOs evaluate the technology function in their companies, from September 2014 until the firm ceased operations in August 2017. Prior to this role, she was a Partner and Co-Chief Operating Officer of the Technology Division of Goldman Sachs Group, Inc. where she was responsible for financial and business planning, technical strategy and ongoing management of an 8,000-person organization until her retirement in April 2013. During her 30-year career at Goldman Sachs, Ms. Chwick held a number of senior positions, including Global Head of Technology of the Securities Division and Global Head of Derivatives Technology. Ms. Chwick served on many governance committees at Goldman Sachs, including the firm's Finance Committee, the firm-wide New Activity Committee and the Technology Risk Committee, and served as co-chair of the Technology Division Operating Committee. During her tenure, she drove the design, build and integration of technology across all of Goldman Sachs' derivatives businesses, including fixed income, commodities, currencies and equities. Ms. Chwick is a member of the Board of Directors of M&T Bank Corporation and Voya Financial, Inc., and Ms. Chwick previously served on the Board of Directors of Thoughtworks Holding, Inc., Essent Group and People's United Financial, Inc. until its acquisition by M&T Bank Corporation in 2022. Ms. Chwick received a B.A. in mathematics from Queens College and an M.B.A. from St. John's University with a concentration in MIS and quantitative analysis.
Jane Chwick,自2017年起担任People's United的董事,直到2022年4月,她在M&T收购People's United完成后加入M&T董事会。她曾担任Goldman Sachs的合伙人,在那里她有30年的技术职业生涯,包括最近担任技术部门的联席首席运营官。作为联合首席运营官,Chwick女士负责财务业务规划,制定技术战略和管理公司内8,000人的组织。在高盛任职期间,她还担任许多治理委员会的成员,包括公司的财务委员会、公司范围的新活动委员会和技术风险委员会,她是技术部门运营委员会的联合主席。Chwick女士也是Trewtec, Inc.的联合创始人和联合首席执行官,为公司董事、首席执行官和首席技术官提供信息,以改善他们对公司技术部门的监督。她是Voya Financial(纽约证券交易所代码:Voya)和MarketAxess Holdings Inc.(纳斯达克代码:MKTX)的董事。在Voya Financial,她是技术、创新和运营委员会主席,风险、投资和财务委员会成员,以及提名、治理和社会责任委员会成员。在MarketAxess,她是风险委员会主席和提名和治理委员会成员。Chwick女士是董事会审计委员会的成员,也是董事会风险委员会的一个小组委员会的成员,专注于网络安全和技术风险。她也是M&T子公司M&T Bank的董事,以及其审查委员会的成员。Chwick先生在全球金融服务公司积累了丰富的技术经验,并结合了战略视角和对金融服务行业的深入了解。她持有Queens College的数学学士学位,以及St. John's 大学的工商管理硕士学位(专注于定量分析)。
Jane Chwick,was most recently the Co-Founder and Co-CEO of Trewtec, Inc., a technology advisory firm designed to help board members and CEOs evaluate the technology function in their companies, from September 2014 until the firm ceased operations in August 2017. Prior to this role, she was a Partner and Co-Chief Operating Officer of the Technology Division of Goldman Sachs Group, Inc. where she was responsible for financial and business planning, technical strategy and ongoing management of an 8,000-person organization until her retirement in April 2013. During her 30-year career at Goldman Sachs, Ms. Chwick held a number of senior positions, including Global Head of Technology of the Securities Division and Global Head of Derivatives Technology. Ms. Chwick served on many governance committees at Goldman Sachs, including the firm's Finance Committee, the firm-wide New Activity Committee and the Technology Risk Committee, and served as co-chair of the Technology Division Operating Committee. During her tenure, she drove the design, build and integration of technology across all of Goldman Sachs' derivatives businesses, including fixed income, commodities, currencies and equities. Ms. Chwick is a member of the Board of Directors of M&T Bank Corporation and Voya Financial, Inc., and Ms. Chwick previously served on the Board of Directors of Thoughtworks Holding, Inc., Essent Group and People's United Financial, Inc. until its acquisition by M&T Bank Corporation in 2022. Ms. Chwick received a B.A. in mathematics from Queens College and an M.B.A. from St. John's University with a concentration in MIS and quantitative analysis.
Jane P. Chwick

Jane P. Chwick自2014年5月以来担任公司的董事。她是The Goldman Sachs Group, Inc.技术的退休联席首席运营官,在此她从1983年到2013年担任越来越高的高级职位。她服务于MarketAxess Holdings, Inc., the Queens College Foundation和Girls Who Code的董事会。她持有女皇大学(Queen's College)的数学学士学位和圣约翰大学(St. John's University)的管理科学和定量方法工商管理硕士学位。


Jane P. Chwick has been a director of the Company since May 2014 and serves as the Chairman of our Technology, Innovation and Operations Committee. Ms. Chwick is the Co-Chief Operating Officer of LiquidTalent, an online marketplace startup that matches freelance talents to employers. Ms. Chwick retired as the Co-Chief Operating Officer of Technology for The Goldman Sachs Group, Inc. in 2013 where she was employed in increasingly senior positions from 1983 until 2013. Ms. Chwick serves on the boards of MarketAxess Holdings, Inc., the Queens College Foundation and Girls Who Code. Ms. Chwick holds a bachelor’s degree in Mathematics from Queen’s College and a Masters of Business Administration in Management Sciences and Quantitative Methods from St. John’s University.
Jane P. Chwick自2014年5月以来担任公司的董事。她是The Goldman Sachs Group, Inc.技术的退休联席首席运营官,在此她从1983年到2013年担任越来越高的高级职位。她服务于MarketAxess Holdings, Inc., the Queens College Foundation和Girls Who Code的董事会。她持有女皇大学(Queen's College)的数学学士学位和圣约翰大学(St. John's University)的管理科学和定量方法工商管理硕士学位。
Jane P. Chwick has been a director of the Company since May 2014 and serves as the Chairman of our Technology, Innovation and Operations Committee. Ms. Chwick is the Co-Chief Operating Officer of LiquidTalent, an online marketplace startup that matches freelance talents to employers. Ms. Chwick retired as the Co-Chief Operating Officer of Technology for The Goldman Sachs Group, Inc. in 2013 where she was employed in increasingly senior positions from 1983 until 2013. Ms. Chwick serves on the boards of MarketAxess Holdings, Inc., the Queens College Foundation and Girls Who Code. Ms. Chwick holds a bachelor’s degree in Mathematics from Queen’s College and a Masters of Business Administration in Management Sciences and Quantitative Methods from St. John’s University.

高管简历

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Charles P. Nelson

Charles P. Nelson自2015年5月起担任退休业务首席执行官。任职期间,Nelson负责监管Tax-Exempt and Corporate Markets 以及 Retail Wealth Management,包含公司的工厂和个人退休业务,包括401k, 403(b) and 457 plans。加入公司之前,Nelson从1983年开始在Great-West任职,最近的职位是领导Empower Retirement(Great-West Life & Annuity Insurance Company的一个业务分部)大西部遗产退休业务;在此之前他从2008年到2014年9月担任Great-West Financial退休服务总裁。Nelson是The SPARK Institute(一家贸易机构,是全方位固定缴款服务提供商代表)前任总裁。Nelson自1985年起担任National Association of Government Defined Contribution Administrators (NAGDCA)成员。Nelson是Whitman College毕业生,持有化学和经济学学位。他于2008年被任命为Whitman College Board of Overseers成员。


Charles P. Nelson has served as chief executive officer of our Retirement business since May 2015. In this role, Mr. Nelson oversees Tax-Exempt and Corporate Markets and Retail Wealth Management, which comprise the Company’s workplace and individual retirement businesses, including 401k, 403(b) and 457 plans. Prior to joining the Company, Mr. Nelson was with Great-West from 1983 most recently led the legacy Great-West retirement business of Empower Retirement, a business unit of Great-West Life & Annuity Insurance Company, and prior to that, served as president of Retirement Services for Great-West Financial from 2008 through September 2014. Mr. Nelson served as the past president of the board of directors for The SPARK Institute, a trade institute that represents the entire spectrum of defined contribution service providers. Mr. Nelson has been a member of the National Association of Government Defined Contribution Administrators (NAGDCA) since 1985. Mr. Nelson is a graduate of Whitman College with a degree in chemistry and economics. He was appointed to the Whitman College Board of Overseers in 2008.
Charles P. Nelson自2015年5月起担任退休业务首席执行官。任职期间,Nelson负责监管Tax-Exempt and Corporate Markets 以及 Retail Wealth Management,包含公司的工厂和个人退休业务,包括401k, 403(b) and 457 plans。加入公司之前,Nelson从1983年开始在Great-West任职,最近的职位是领导Empower Retirement(Great-West Life & Annuity Insurance Company的一个业务分部)大西部遗产退休业务;在此之前他从2008年到2014年9月担任Great-West Financial退休服务总裁。Nelson是The SPARK Institute(一家贸易机构,是全方位固定缴款服务提供商代表)前任总裁。Nelson自1985年起担任National Association of Government Defined Contribution Administrators (NAGDCA)成员。Nelson是Whitman College毕业生,持有化学和经济学学位。他于2008年被任命为Whitman College Board of Overseers成员。
Charles P. Nelson has served as chief executive officer of our Retirement business since May 2015. In this role, Mr. Nelson oversees Tax-Exempt and Corporate Markets and Retail Wealth Management, which comprise the Company’s workplace and individual retirement businesses, including 401k, 403(b) and 457 plans. Prior to joining the Company, Mr. Nelson was with Great-West from 1983 most recently led the legacy Great-West retirement business of Empower Retirement, a business unit of Great-West Life & Annuity Insurance Company, and prior to that, served as president of Retirement Services for Great-West Financial from 2008 through September 2014. Mr. Nelson served as the past president of the board of directors for The SPARK Institute, a trade institute that represents the entire spectrum of defined contribution service providers. Mr. Nelson has been a member of the National Association of Government Defined Contribution Administrators (NAGDCA) since 1985. Mr. Nelson is a graduate of Whitman College with a degree in chemistry and economics. He was appointed to the Whitman College Board of Overseers in 2008.
Patricia J. Walsh

Patricia J. Walsh自2015年9月起担任公司执行副总裁和首席法务官。加入公司之前,Walsh曾担任Cigna Corporation副总法律顾问和全球首席合规官。Walsh于2011年加入Cigna担任美国业务首席顾问。加入Cigna之前,Walsh在 Massachusetts Mutual Life Insurance任职期间,担任多个领导职位,包括担任公司高级副总裁和副总法律顾问,最近的职位是担任高级副总裁、董事长和首席执行官办公室主任。Walsh持有Mount Holyoke College经济学学士学位;Princeton University公共事务硕士学位;Yale Law School法律博士学位。


Patricia J. Walsh has served as executive vice president and chief legal officer of the Company since September 2015. Prior to joining the Company, Ms. Walsh was Deputy General Counsel and Global Chief Compliance Officer of Cigna Corporation. Ms. Walsh joined Cigna in 2011 as Chief Counsel for Cigna’s U.S. businesses. Prior to Cigna, Ms. Walsh held several leadership roles during her tenure at Massachusetts Mutual Life Insurance, serving as Senior Vice President and Deputy General Counsel for the company, and most recently, as Senior Vice President and Chief of Staff to the Chairman and CEO. Ms. Walsh holds a bachelor’s degree in economics from Mount Holyoke College, a master’s degree in public affairs from Princeton University and a J.D. from Yale Law School.
Patricia J. Walsh自2015年9月起担任公司执行副总裁和首席法务官。加入公司之前,Walsh曾担任Cigna Corporation副总法律顾问和全球首席合规官。Walsh于2011年加入Cigna担任美国业务首席顾问。加入Cigna之前,Walsh在 Massachusetts Mutual Life Insurance任职期间,担任多个领导职位,包括担任公司高级副总裁和副总法律顾问,最近的职位是担任高级副总裁、董事长和首席执行官办公室主任。Walsh持有Mount Holyoke College经济学学士学位;Princeton University公共事务硕士学位;Yale Law School法律博士学位。
Patricia J. Walsh has served as executive vice president and chief legal officer of the Company since September 2015. Prior to joining the Company, Ms. Walsh was Deputy General Counsel and Global Chief Compliance Officer of Cigna Corporation. Ms. Walsh joined Cigna in 2011 as Chief Counsel for Cigna’s U.S. businesses. Prior to Cigna, Ms. Walsh held several leadership roles during her tenure at Massachusetts Mutual Life Insurance, serving as Senior Vice President and Deputy General Counsel for the company, and most recently, as Senior Vice President and Chief of Staff to the Chairman and CEO. Ms. Walsh holds a bachelor’s degree in economics from Mount Holyoke College, a master’s degree in public affairs from Princeton University and a J.D. from Yale Law School.
Alain M. Karaoglan

Alain M. Karaoglan,2012年9月起,担任执行副总裁、首席运营官;2011年4月至2012年9月,担任财务与战略执行副总裁。他目前负责监督本公司的投资管理业务、战略与企业发展、投资者关系、品牌营销、运营及信息技术。2011年4月至2013年4月,他还担任本公司的董事。加入本公司之前,2009年6月至2011年4月,他是AIG资产剥离高级副总裁。加入AIG之前,2007年9月至2009年4月,他是Banc of America Securities LLC的股票研究董事总经理。2000年10月至2007年6月,他担任Deutsche Bank Securities的北美股票研究董事总经理。之前,1997年8月至2000年10月,他是Donaldson Lufkin & Jenrette的股票研究分析师;此前10年,1988-1997,他曾任职于First Boston Corporation的投资银行部;也曾担任Bear Stearns的董事总经理,为企业提供财务、并购交易方面的咨询服务。他以优异的成绩在Pepperdine University获得工商管理与经济学士学位,在Dartmouth College's Tuck School of Business获得工商管理硕士学位。


Alain M. Karaoglan has served as Senior Vice President, New York Life Insurance since September 2019. Mr. Karaoglan previously served as the Chief Operating Officer of Voya Financial, Inc. “Voya”, a financial, retirement, investment and insurance company, a position he had held from 2012 until 2018 and from 2011 to 2012 Mr. Karaoglan also served as Executive Vice President, Finance and Strategy of Voya. Prior to joining Voya, Mr. Karaoglan was Senior Vice President, Divestiture, for AIG from 2009 to 2011. Prior to AIG, from 2007 to 2009 Mr. Karaoglan was Managing Director, Equity Research, for Bank of America Securities LLC. From 2000 to 2007 he was Managing Director, North American Equity Research, at Deutsche Bank Securities Inc. Previously, from 1997 to 2000 he was an equity research analyst at Donaldson Lufkin & Jenrette after being in investment banking for approximately 10 years (1988 to 1997) at First Boston Corporation and, at Bear Stearns in the role of Managing Director. Mr. Karaoglan received his bachelor’s degrees, both magna cum laude, in business administration and economics from Pepperdine University, and received his M.B.A. from Dartmouth College’s Tuck School of Business.
Alain M. Karaoglan,2012年9月起,担任执行副总裁、首席运营官;2011年4月至2012年9月,担任财务与战略执行副总裁。他目前负责监督本公司的投资管理业务、战略与企业发展、投资者关系、品牌营销、运营及信息技术。2011年4月至2013年4月,他还担任本公司的董事。加入本公司之前,2009年6月至2011年4月,他是AIG资产剥离高级副总裁。加入AIG之前,2007年9月至2009年4月,他是Banc of America Securities LLC的股票研究董事总经理。2000年10月至2007年6月,他担任Deutsche Bank Securities的北美股票研究董事总经理。之前,1997年8月至2000年10月,他是Donaldson Lufkin & Jenrette的股票研究分析师;此前10年,1988-1997,他曾任职于First Boston Corporation的投资银行部;也曾担任Bear Stearns的董事总经理,为企业提供财务、并购交易方面的咨询服务。他以优异的成绩在Pepperdine University获得工商管理与经济学士学位,在Dartmouth College's Tuck School of Business获得工商管理硕士学位。
Alain M. Karaoglan has served as Senior Vice President, New York Life Insurance since September 2019. Mr. Karaoglan previously served as the Chief Operating Officer of Voya Financial, Inc. “Voya”, a financial, retirement, investment and insurance company, a position he had held from 2012 until 2018 and from 2011 to 2012 Mr. Karaoglan also served as Executive Vice President, Finance and Strategy of Voya. Prior to joining Voya, Mr. Karaoglan was Senior Vice President, Divestiture, for AIG from 2009 to 2011. Prior to AIG, from 2007 to 2009 Mr. Karaoglan was Managing Director, Equity Research, for Bank of America Securities LLC. From 2000 to 2007 he was Managing Director, North American Equity Research, at Deutsche Bank Securities Inc. Previously, from 1997 to 2000 he was an equity research analyst at Donaldson Lufkin & Jenrette after being in investment banking for approximately 10 years (1988 to 1997) at First Boston Corporation and, at Bear Stearns in the role of Managing Director. Mr. Karaoglan received his bachelor’s degrees, both magna cum laude, in business administration and economics from Pepperdine University, and received his M.B.A. from Dartmouth College’s Tuck School of Business.
Ewout L. Steenbergen

Ewout L. Steenbergen,2010年1月起,担任本公司的执行副总裁、首席财务官。2010年1月至2013年4月,他还担任董事。他目前负责本公司的战略金融、资本管理、财务、精算、税务、保险投资、财务总监职能、财务报告、采购及支出管理。他从1993年起,受聘于ING Group的关联公司。担任现职之前,他是ING 亚太地区的首席财务官、首席风险官。他曾担任过ING Group的多个管理职务,包括:中国香港区域总经理,以及RVS的首席执行官,这是ING Group位于荷兰的旗下公司,提供人寿、财产与意外、养老等各种保险产品。他还曾担任:ING Group的企业战略总监;捷克和斯洛伐克ING Insurance的首席执行官;Nationale-Nederlanden的退休与员工福利总监,这是ING Group荷兰的人寿保险公司。加入ING Group之前,1990-1993,他是精算公司Ten Pas(现为Mercer的分部)的顾问。他在荷兰的University of Amsterdam获得精算硕士学位,在University of Rochester获得工商管理硕士学位。


Ewout L. Steenbergen,is Executive Vice President and Chief Financial Officer since 2024. Previously he served as EVP, Chief Financial Officer at S&P Global Inc. ("S&P"), a financial information and analytics company, since 2016. Mr. Steenbergen was also appointed as President, Engineering Solutions in 2022 when S&P merged with IHS Markit, and led Kensho Technologies, an artificial intelligence company, since 2018. Prior to his role with S&P, Mr. Steenbergen served as Executive Vice President and CFO of Voya Financial, Inc., a financial services company. He also serves on the board of directors of AXA Group (France) and UNICEF USA.
Ewout L. Steenbergen,2010年1月起,担任本公司的执行副总裁、首席财务官。2010年1月至2013年4月,他还担任董事。他目前负责本公司的战略金融、资本管理、财务、精算、税务、保险投资、财务总监职能、财务报告、采购及支出管理。他从1993年起,受聘于ING Group的关联公司。担任现职之前,他是ING 亚太地区的首席财务官、首席风险官。他曾担任过ING Group的多个管理职务,包括:中国香港区域总经理,以及RVS的首席执行官,这是ING Group位于荷兰的旗下公司,提供人寿、财产与意外、养老等各种保险产品。他还曾担任:ING Group的企业战略总监;捷克和斯洛伐克ING Insurance的首席执行官;Nationale-Nederlanden的退休与员工福利总监,这是ING Group荷兰的人寿保险公司。加入ING Group之前,1990-1993,他是精算公司Ten Pas(现为Mercer的分部)的顾问。他在荷兰的University of Amsterdam获得精算硕士学位,在University of Rochester获得工商管理硕士学位。
Ewout L. Steenbergen,is Executive Vice President and Chief Financial Officer since 2024. Previously he served as EVP, Chief Financial Officer at S&P Global Inc. ("S&P"), a financial information and analytics company, since 2016. Mr. Steenbergen was also appointed as President, Engineering Solutions in 2022 when S&P merged with IHS Markit, and led Kensho Technologies, an artificial intelligence company, since 2018. Prior to his role with S&P, Mr. Steenbergen served as Executive Vice President and CFO of Voya Financial, Inc., a financial services company. He also serves on the board of directors of AXA Group (France) and UNICEF USA.
Jeffrey T. Becker

Jeffrey T. Becker,2009年10月起,担任本公司投资管理业务的首席执行官。1998年起,他就任职于本公司及其前身,担任过愈益重要的多个职务,其中包括投资管理业务的副董事长、首席运营官、首席财务官。加入本公司之前,他是Aetna房地产投资部的首席信贷官。1994年加入Aetna之前,他是Arthur Andersen财务咨询业务的高级经理。他在Colgate University获得经济学士学位,在New York University's Stern School of Business获得财务方向的工商管理硕士学位。


Jeffrey T. Becker has served as chief executive officer of our Investment Management business since October 2009. In this role, Mr. Becker drives the strategic direction and operational performance of Investment Management, the asset management business of the Company. Mr. Becker has been employed by the Company and its predecessor since 1998 serving in increasingly responsible positions. From 2009 to 2013 Mr. Becker was chief executive officer of ING Investment Management Americas and prior to that, held various executive positions with the company including vice chairman, chief operating officer and chief financial officer. Before joining ING Investment Management Americas in 2000 Mr. Becker was chief financial and administrative officer of Aeltus Investment Management, responsible for its strategy, finance and business operations and support. Prior to joining the Company, Mr. Becker was chief credit officer for Aetna’s Real Estate Investment Group. Prior to joining Aetna in 1994 Mr. Becker was a senior manager in Arthur Andersen’s financial consulting practice. Mr. Becker earned a B.A. in economics from Colgate University and an M.B.A. in finance from New York University’s Stern School of Business. Mr. Becker is a board member of AmeriCares.
Jeffrey T. Becker,2009年10月起,担任本公司投资管理业务的首席执行官。1998年起,他就任职于本公司及其前身,担任过愈益重要的多个职务,其中包括投资管理业务的副董事长、首席运营官、首席财务官。加入本公司之前,他是Aetna房地产投资部的首席信贷官。1994年加入Aetna之前,他是Arthur Andersen财务咨询业务的高级经理。他在Colgate University获得经济学士学位,在New York University's Stern School of Business获得财务方向的工商管理硕士学位。
Jeffrey T. Becker has served as chief executive officer of our Investment Management business since October 2009. In this role, Mr. Becker drives the strategic direction and operational performance of Investment Management, the asset management business of the Company. Mr. Becker has been employed by the Company and its predecessor since 1998 serving in increasingly responsible positions. From 2009 to 2013 Mr. Becker was chief executive officer of ING Investment Management Americas and prior to that, held various executive positions with the company including vice chairman, chief operating officer and chief financial officer. Before joining ING Investment Management Americas in 2000 Mr. Becker was chief financial and administrative officer of Aeltus Investment Management, responsible for its strategy, finance and business operations and support. Prior to joining the Company, Mr. Becker was chief credit officer for Aetna’s Real Estate Investment Group. Prior to joining Aetna in 1994 Mr. Becker was a senior manager in Arthur Andersen’s financial consulting practice. Mr. Becker earned a B.A. in economics from Colgate University and an M.B.A. in finance from New York University’s Stern School of Business. Mr. Becker is a board member of AmeriCares.
Kevin D. Silva

Kevin D. Silva,2012年2月起,担任本公司的执行副总裁、首席人力官。此前,2009-2012,他担任Argo Group International的首席人力官,这是全球性的专业保险上市公司。加入Argo之前,1996-2009,他在MBIA Insurance Corporation工作了超过13年,曾担任其行政总监,负责人力资源、传播、企业管理、政府关系、信息资源、设施、电信及档案管理等工作。他还曾在以下公司担任过人力资源的高级领导职务:Merrill Lynch (1993-1995)、MasterCard International (1989-1993), 和 Pepsi Cola Company (1979-1989)。他在St. John's University获得传播学士学位,在New York University获得心理学硕士学位。


Kevin D. Silva has served as executive vice president and chief human resources officer of the Company since February 2012. Prior to his current position, from 2009 to 2012 he served as chief human resources officer at Argo Group International, a global, publicly traded specialty insurance company. Prior to joining Argo, Mr. Silva spent more than 13 years 1996-2009 at MBIA Insurance Corporation where he served as chief administrative officer responsible for the human resources, communications, corporate administration, governmental relations, information resources, facilities, telecommunications, and records-management functions. Mr. Silva has also served in senior human resources leadership roles with Merrill Lynch (1993-1995), MasterCard International (1989-1993), and Pepsi Cola Company (1979-1989). Mr. Silva earned a bachelor’s degree in Communications from St. John’s University and a master’s degree in Psychology from New York University.
Kevin D. Silva,2012年2月起,担任本公司的执行副总裁、首席人力官。此前,2009-2012,他担任Argo Group International的首席人力官,这是全球性的专业保险上市公司。加入Argo之前,1996-2009,他在MBIA Insurance Corporation工作了超过13年,曾担任其行政总监,负责人力资源、传播、企业管理、政府关系、信息资源、设施、电信及档案管理等工作。他还曾在以下公司担任过人力资源的高级领导职务:Merrill Lynch (1993-1995)、MasterCard International (1989-1993), 和 Pepsi Cola Company (1979-1989)。他在St. John's University获得传播学士学位,在New York University获得心理学硕士学位。
Kevin D. Silva has served as executive vice president and chief human resources officer of the Company since February 2012. Prior to his current position, from 2009 to 2012 he served as chief human resources officer at Argo Group International, a global, publicly traded specialty insurance company. Prior to joining Argo, Mr. Silva spent more than 13 years 1996-2009 at MBIA Insurance Corporation where he served as chief administrative officer responsible for the human resources, communications, corporate administration, governmental relations, information resources, facilities, telecommunications, and records-management functions. Mr. Silva has also served in senior human resources leadership roles with Merrill Lynch (1993-1995), MasterCard International (1989-1993), and Pepsi Cola Company (1979-1989). Mr. Silva earned a bachelor’s degree in Communications from St. John’s University and a master’s degree in Psychology from New York University.
Michael S. Smith

Michael S. Smith,2014年1月起,担任本公司Insurance Solutions and Closed Block Variable Annuity业务的首席执行官。此前,他从2012年5月起,担任本公司的执行副总裁、首席风险官,负责全公司业务层面的风险监控及管理方案。除了风险管理方面的职务,他还在本公司的CBVA部门担任过管理职务。他于2009年5月加入本公司,先是担任年金业务的首席财务官、首席保险风险官,后来担任Annuity Manufacturing的首席执行官。加入本公司之前,他在1988-2009年间受聘于Lincoln Financial Group LNC,担任过多个职务,包括LNC的盈利能力和风险管理总监、Lincoln National Life的首席精算官、Lincoln Financial Distributors的行政总监及首席财务官、LNC人寿与年金部门的首席财务官及首席风险官、LNC雇员市场部的客户支持总监。他在University of Michigan获得经济和俄罗斯研究的双学士学位。1990年,他成为Society of Actuaries的会员,也是American Academy of Actuaries的会员。他还在2003年成为CFA特许人。


Michael S. Smith has served as chief executive officer of our Insurance Solutions and Closed Block Variable Annuity business since January 2014. Prior to assuming this role, Mr. Smith served as the executive vice president and chief risk officer of the Company since May 2012. In this role, Mr. Smith was responsible for overseeing the enterprise-wide and business-level risk monitoring and management program for the Company. In addition to his risk management role, he provided management oversight of our CBVA segment. Mr. Smith joined the Company in May 2009 first as chief financial officer and chief insurance risk officer of the annuity business and subsequently as chief executive officer of Annuity Manufacturing. Prior to joining the Company, from 1988 to 2009, Mr. Smith was employed by Lincoln Financial Group ("LNC") where he held several positions, including head of Profitability and Risk Management for Retirement Solutions at LNC, chief actuarial officer for Lincoln National Life, chief administrative officer and chief financial officer for Lincoln Financial Distributors, Inc., chief financial officer and chief risk officer for LNC's Life and Annuity division and head of customer support for LNC's Employer Markets division. Mr. Smith holds bachelor's degrees in Economics and Russian Studies from the University of Michigan. He attained Fellowship in the Society of Actuaries in 1990 and is also a Member of the American Academy of Actuaries. He also attained his CFA Charter holder designation in 2003.
Michael S. Smith,2014年1月起,担任本公司Insurance Solutions and Closed Block Variable Annuity业务的首席执行官。此前,他从2012年5月起,担任本公司的执行副总裁、首席风险官,负责全公司业务层面的风险监控及管理方案。除了风险管理方面的职务,他还在本公司的CBVA部门担任过管理职务。他于2009年5月加入本公司,先是担任年金业务的首席财务官、首席保险风险官,后来担任Annuity Manufacturing的首席执行官。加入本公司之前,他在1988-2009年间受聘于Lincoln Financial Group LNC,担任过多个职务,包括LNC的盈利能力和风险管理总监、Lincoln National Life的首席精算官、Lincoln Financial Distributors的行政总监及首席财务官、LNC人寿与年金部门的首席财务官及首席风险官、LNC雇员市场部的客户支持总监。他在University of Michigan获得经济和俄罗斯研究的双学士学位。1990年,他成为Society of Actuaries的会员,也是American Academy of Actuaries的会员。他还在2003年成为CFA特许人。
Michael S. Smith has served as chief executive officer of our Insurance Solutions and Closed Block Variable Annuity business since January 2014. Prior to assuming this role, Mr. Smith served as the executive vice president and chief risk officer of the Company since May 2012. In this role, Mr. Smith was responsible for overseeing the enterprise-wide and business-level risk monitoring and management program for the Company. In addition to his risk management role, he provided management oversight of our CBVA segment. Mr. Smith joined the Company in May 2009 first as chief financial officer and chief insurance risk officer of the annuity business and subsequently as chief executive officer of Annuity Manufacturing. Prior to joining the Company, from 1988 to 2009, Mr. Smith was employed by Lincoln Financial Group ("LNC") where he held several positions, including head of Profitability and Risk Management for Retirement Solutions at LNC, chief actuarial officer for Lincoln National Life, chief administrative officer and chief financial officer for Lincoln Financial Distributors, Inc., chief financial officer and chief risk officer for LNC's Life and Annuity division and head of customer support for LNC's Employer Markets division. Mr. Smith holds bachelor's degrees in Economics and Russian Studies from the University of Michigan. He attained Fellowship in the Society of Actuaries in 1990 and is also a Member of the American Academy of Actuaries. He also attained his CFA Charter holder designation in 2003.
Rodney O. Martin, Jr.

Rodney O. Martin, Jr.,2011年4月起,担任Voya Financial的首席执行官、董事。自本公司首次公开发行结束之时起,他担任董事长,直到2013年5月;他也是执行委员会的主席。他目前全面负责Voya Financial的战略和绩效。刚进入保险行业时,他是Connecticut Mutual Life Insurance Company的一名代理人;在1975年2月至1995年8月期间,他在该公司担任过各种营销和管理的职务,最后的职务是Connecticut Mutual Life Insurance Services的总裁。1995年,他加入American General Life Companies,担任总裁、首席执行官;他在该公司经营着美国的人寿保险业务,直到2001年该业务被American International Group AIG收购。他在AIG担任过愈益重要的多个职务,包括AIG Worldwide Life Insurance的首席运营官、American Life Insurance Company的董事长及首席执行官、American International Assurance的董事长,最后的是AIG's International Life and Retirement Services businesses董事长,任期在2010年11月结束。他在纽约Alfred的Alfred University获得工商管理学士学位,是 Life Underwriter Training Council的资深会员。他目前是ACLI 和 LIMRA的董事。


Rodney O. Martin, Jr. has been our chief executive officer and a director of the Company since 2011. Mr. Martin was appointed Chairman of the board of directors upon completion of our initial public offering in May 2013 and also serves as chairman of the board’s Executive Committee. As Chief Executive Officer, Mr. Martin is responsible for the overall strategy and performance of the Company. Mr. Martin began his insurance career as an agent with Connecticut Mutual Life Insurance Company, where, from February 1975 to August 1995 he served in various marketing and management positions. Mr. Martin ultimately advanced to become president of Connecticut Mutual Insurance Services. In 1995 Mr. Martin joined the American General Life Companies as president and chief executive officer where he ran the U.S. life insurance businesses until they were acquired by American International Group, Inc. “AIG”, in 2001. At AIG, Mr. Martin held positions of increasing responsibility, from chief operating officer of AIG Worldwide Life Insurance, chairman and chief executive officer of American Life Insurance Company, chairman of American International Assurance, and most recently, chairman of AIG’s International Life and Retirement Services businesses until November 2010. Mr. Martin received his bachelor’s degree in business administration from Alfred University in Alfred, N.Y., and is also a Life Underwriter Training Council Fellow. Mr. Martin has served on the Boards of Directors of American Council of Life Insurers and LIMRA.
Rodney O. Martin, Jr.,2011年4月起,担任Voya Financial的首席执行官、董事。自本公司首次公开发行结束之时起,他担任董事长,直到2013年5月;他也是执行委员会的主席。他目前全面负责Voya Financial的战略和绩效。刚进入保险行业时,他是Connecticut Mutual Life Insurance Company的一名代理人;在1975年2月至1995年8月期间,他在该公司担任过各种营销和管理的职务,最后的职务是Connecticut Mutual Life Insurance Services的总裁。1995年,他加入American General Life Companies,担任总裁、首席执行官;他在该公司经营着美国的人寿保险业务,直到2001年该业务被American International Group AIG收购。他在AIG担任过愈益重要的多个职务,包括AIG Worldwide Life Insurance的首席运营官、American Life Insurance Company的董事长及首席执行官、American International Assurance的董事长,最后的是AIG's International Life and Retirement Services businesses董事长,任期在2010年11月结束。他在纽约Alfred的Alfred University获得工商管理学士学位,是 Life Underwriter Training Council的资深会员。他目前是ACLI 和 LIMRA的董事。
Rodney O. Martin, Jr. has been our chief executive officer and a director of the Company since 2011. Mr. Martin was appointed Chairman of the board of directors upon completion of our initial public offering in May 2013 and also serves as chairman of the board’s Executive Committee. As Chief Executive Officer, Mr. Martin is responsible for the overall strategy and performance of the Company. Mr. Martin began his insurance career as an agent with Connecticut Mutual Life Insurance Company, where, from February 1975 to August 1995 he served in various marketing and management positions. Mr. Martin ultimately advanced to become president of Connecticut Mutual Insurance Services. In 1995 Mr. Martin joined the American General Life Companies as president and chief executive officer where he ran the U.S. life insurance businesses until they were acquired by American International Group, Inc. “AIG”, in 2001. At AIG, Mr. Martin held positions of increasing responsibility, from chief operating officer of AIG Worldwide Life Insurance, chairman and chief executive officer of American Life Insurance Company, chairman of American International Assurance, and most recently, chairman of AIG’s International Life and Retirement Services businesses until November 2010. Mr. Martin received his bachelor’s degree in business administration from Alfred University in Alfred, N.Y., and is also a Life Underwriter Training Council Fellow. Mr. Martin has served on the Boards of Directors of American Council of Life Insurers and LIMRA.
Chetlur S. Ragavan

Chetlur S. Ragavan,2014年1月起,担任本公司的执行副总裁、首席风险官。此前,他从2008年4月起,担任投资管理部的首席风险官,负责涵盖全公司投资、运营及业务风险管理的综合平台。加入本公司之前,随着2006年10月Blackrock Solutions与Merrill Lynch Investment Managers合并,他开始担任Blackrock Solutions的董事总经理、投资组合分析部联席总监。1980年,他的职业生涯始于Merrill Lynch;此后在其多个公司担任了一些投资与风险管理的高级职务。他在Madurai University获得管理方向的工商管理学士学位,在University of Madras获得财务方向的工商管理硕士学位,以上学校均在印度;他还在New Jersey Institute of Technology获得计算机硕士学位,并持有特许金融分析师资格。


Chetlur S. Ragavan is the former Executive Vice President and Chief Risk Officer of Voya Financial, a position he held from 2014 until his retirement in 2019. He was a member of Voya's Executive Committee and Chair of its Enterprise Risk Committee. From 2008 to 2013 he served as Managing Director and Chief Risk Officer for Voya Investment Management.Prior to joining Voya Financial, Mr. Ragavan was Managing Director and Co-Head of the Portfolio Analytics Group for BlackRock from 2006 to 2008.Mr. Ragavan began his career at Merrill Lynch in 1980 and held several senior technology, investment and risk management positions within its various subsidiaries during his 26-year career with the company. His leadership roles included serving as Managing Director and Global Head of Fixed-Income Research of Merrill Lynch Investment Managers from 2000 to 2006 and as Managing Director and Head of Risk Management of Merrill Lynch Asset Management from 1992 to 2000.Mr. Ragavan is a current board member of the Council for Economic Education CEE and a former board member of the Voya Foundation and the Fixed Income Analysts Society.
Chetlur S. Ragavan,2014年1月起,担任本公司的执行副总裁、首席风险官。此前,他从2008年4月起,担任投资管理部的首席风险官,负责涵盖全公司投资、运营及业务风险管理的综合平台。加入本公司之前,随着2006年10月Blackrock Solutions与Merrill Lynch Investment Managers合并,他开始担任Blackrock Solutions的董事总经理、投资组合分析部联席总监。1980年,他的职业生涯始于Merrill Lynch;此后在其多个公司担任了一些投资与风险管理的高级职务。他在Madurai University获得管理方向的工商管理学士学位,在University of Madras获得财务方向的工商管理硕士学位,以上学校均在印度;他还在New Jersey Institute of Technology获得计算机硕士学位,并持有特许金融分析师资格。
Chetlur S. Ragavan is the former Executive Vice President and Chief Risk Officer of Voya Financial, a position he held from 2014 until his retirement in 2019. He was a member of Voya's Executive Committee and Chair of its Enterprise Risk Committee. From 2008 to 2013 he served as Managing Director and Chief Risk Officer for Voya Investment Management.Prior to joining Voya Financial, Mr. Ragavan was Managing Director and Co-Head of the Portfolio Analytics Group for BlackRock from 2006 to 2008.Mr. Ragavan began his career at Merrill Lynch in 1980 and held several senior technology, investment and risk management positions within its various subsidiaries during his 26-year career with the company. His leadership roles included serving as Managing Director and Global Head of Fixed-Income Research of Merrill Lynch Investment Managers from 2000 to 2006 and as Managing Director and Head of Risk Management of Merrill Lynch Asset Management from 1992 to 2000.Mr. Ragavan is a current board member of the Council for Economic Education CEE and a former board member of the Voya Foundation and the Fixed Income Analysts Society.