JON WIEMAN, CFA, JD
CHIEF COMPLIANCE OFFICER
Jon is the Chief Compliance Officer for Anfield Capital Management, LLC. He brings over 15 years of experience in counseling the investment industry on legal and compliance issues. Jon spent more than 12 years in the U.S. Securities and Exchange Commission’s examination program. Prior to joining the Commission, Jon’s legal practice involved counseling clients on legal and compliance issues in both law firm and in-house settings. Jon graduated from the University of Minnesota Carlson School of Management with a Bachelor of Science degree in Finance. He received his law degree from the UCLA School of Law and his Executive LL.M. in Securities and Financial Regulation from the Georgetown University Law Center. Jon is a Chartered Financial Analyst charterholder and a member of the California State Bar.