Geoffrey Smith

Geoffrey Smith

Compliance Officer at Lorne Steinberg Wealth Management, Inc.

Finance
Consumer Services

Profile

Mr. Geoffrey Smith, CFA, is a Compliance Officer & Portfolio Manager at Lorne Steinberg Wealth Management, Inc. He has worked in the investment industry for over 30 years.
Prior to joining LSWM, Mr. Smith worked at Magna Vista Investment Management Ltd.
as a research analyst specializing in fixed income and global equities.
Before Magna Vista, he spent eight years at RBC Capital Markets managing the Canadian Bond Futures desk at the Montreal Exchange.
He was also a senior officer at a boutique investment dealer, where he managed a proprietary trading desk.
He received his BBA from the University of New Brunswick and has been a Chartered Financial Analyst (CFA) charterholder since 1993.

Geoffrey Smith active positions

CompaniesPositionStart
Compliance Officer -
All active positions of Geoffrey Smith

Former positions of Geoffrey Smith

CompaniesPositionEnd
Analyst-Equity 31/03/2009
Corporate Officer/Principal -
Corporate Officer/Principal -
See the detail of Geoffrey Smith's experience

Training of Geoffrey Smith

University of New Brunswick Undergraduate Degree

Experiences
Positions held

Active

Inactive

Listed companies

Private companies

See the detail of Geoffrey Smith's experience

Connections

12

1st degree connections

5

1st degree companies

Male

Female

Members of the board

Executives

See the personal network

Linked companies

Private companies4

Finance

Finance

Finance

Finance

See company connections
  1. Stock Market
  2. Insiders
  3. Geoffrey Smith