About Us
Board of Directors
- Raul Biancardi - Independent Director / Chairman Audit CommitteeMr. Biancardi’s career in finance began in 1993 at Morgan Stanley International. He moved to Deutsche Bank as Head of Emerging Markets Equities, and to Lehman Brothers International in 1998, where he served for six years in positions including Head of Fixed Income Prime Brokerage (Europe) and Head of Wealth and Asset Management for Europe/Middle East/Africa. He is currently a senior manager at a leading middle eastern bank. Mr. Biancardi holds a Masters Degree in Business Administration from Westminster University in London, and Bachelors Degree in English from Tulane University.
- Ivar Eilertsen - Independent Director / Chairman Compensation CommitteeMr. Eilertsen has served since 2006 as the Founding Partner of Harbor Capital Technologies, LLC, a boutique advisory firm focused on financial technology. Prior to founding Harbor Capital, Mr. Eilertsen served as Managing Director and Senior Vice President, Global Accounts for Thomson Financial. Prior to joining Thomson, Mr. Eilertsen served in senior management roles at ADP Brokerage Services Group (now Broadridge), and was CEO, Americas and General Manager of ADP Wilco. Mr. Eilertsen holds a Bachelor of Science Degree from the University of Oslo, Norway.
- Greg Webster - Chief Executive Officer and DirectorMr. Webster brings over 20 years of management experience throughout the financial services, brokerage and insurance industries, including extensive global wealth leadership experience.
Prior to his current position at Fund.com, Mr. Webster was the President and CEO of HSBC Brokerage (USA) Inc., one of the largest banks in the world, where he was responsible for approximately $32.5 billion of client assets. Mr. Webster additionally held a seat on the Board of HSBC Asset Management (Americas) and served as Head of Securities of HSBC North America. In the latter role, Mr. Webster served on the board of directors and oversaw all the wealth management advisory services of HSBC Securities (Canada) Inc. and Merrill-Lynch HSBC (Canada) Inc., and was responsible for trading and execution services for HSBC subsidiaries and international affiliates.
Before joining HSBC in 2000, Mr. Webster led the Guardian Life Insurance Company in the formation and SEC Registration of a newly formed broker/dealer, Park Avenue Securities, LLC. Mr. Webster served as President of Park Avenue Securities, where he managed the securities operations and the distribution of wealth management and insurance products through a field force of approximately 4,000 registered representatives across the country. Prior to Park Avenue, Mr. Webster was the Chief Operating Officer for NYLIFE Securities, Inc., a subsidiary of New York Life Insurance Company, where he managed the wealth management proposition for approximately 8,000 Registered Representatives nationally. Mr. Webster was previously a Director of Private Client Services at Dreyfus Service Corporation, a subsidiary of Mellon Bank.

