Chief Compliance Officer

Ms. Kellogg is responsible for Torray's compliance oversight and risk management program. Before joining Torray in 2017, she was a Compliance Manager within FINRA's Code of Conduct Group, Office of General Counsel. Prior to FINRA, she spent eight years in investment adviser compliance at TAMRO Capital Partners, serving as Chief Compliance Officer from 2012-2016. Prior to TAMRO, she was a Senior Fund Administrator at Rydex Investments. She began her investment career in 2004 as a Private Equity Fund Accountant at Investors Bank & Trust (now a part of State Street). Ms. Kellogg earned her B.A. in Economics from Colgate University in 2004. She is an Investment Adviser Certified Compliance ProfessionalĀ® (IACCP).

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