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Dan Baldwin, CFA, Managing Partner, Chief Executive Officer, Strategist
Mr. Baldwin joined Stanfield in September of 1998 and is the Firm’s Chief Executive Officer. Prior to joining Stanfield, Mr. Baldwin was with Chancellor Capital Management Inc. (now INVESCO (New York), Inc.), as Head of its High Yield Group. From 1982 until 1984, Mr. Baldwin was Chief Investment Officer at First Pyramid Life was with First Variable Life from 1977 to 1982 as a portfolio manager for both fixed and variable annuity accounts. Mr. Baldwin began his career in 1974 as a portfolio manager for Union Planters National Bank. Mr. Baldwin received a BS/BA in Finance from the University of Arkansas in 1974. He is a Chartered Financial Analyst and a member of the New York Society of Securities Analysts, and the Association for Investment Management and Research.

Christopher E. Jansen, Managing Partner, Portfolio Manager
Prior to founding Stanfield, Mr. Jansen was with Chancellor Senior Secured Management, Inc. (now INVESCO Senior Secured Management, Inc.) as a Managing Director and Portfolio Manager. Mr. Jansen began his career in 1983 with Manufacturers Hanover Trust Company (now JP Morgan Chase) where, until 1990, he specialized in the structuring and negotiation of highly leveraged financings in the firm’s Acquisition Finance Group. Mr. Jansen received a BA in Economics from Rutgers College in 1981, and an MM in Finance from the Kellogg Graduate School of Management at Northwestern University in 1983.

Stephen M. Alfieri, Managing Partner, Portfolio Manager
Prior to founding Stanfield, Mr. Alfieri was with Chancellor Senior Secured Management, Inc. (now INVESCO Senior Secured Management, Inc.) as a Bank Loan Portfolio Manager. Mr. Alfieri began his career in 1986 at Manufacturers Hanover Trust Company (now JP Morgan Chase) in the Credit Training Program. He served as an Analyst in the firm’s Acquisition Finance Group from 1986 to 1992, with responsibility for structuring, negotiating, and syndicating leveraged loans. Mr. Alfieri received a BS in Accounting from Georgetown University in 1986.

Dan Partlow, Managing Director, Head of Risk Management
Mr. Partlow joined Stanfield in 2007 from MBIA where he was the Director of Market Risk Management. He previously worked at AIG, where he was an officer in Enterprise Risk Management from 2002 through 2006 and was a Director at Algorithmics (now Fitch Risk) from 2000 to 2002.  From 1993 to 2000 Mr. Partlow worked in various Risk Management and Trading Systems positions for Selkirk Financial (now Thompson), Integrity (now Sungard), FNX Ltd., and MCM (now Sungard). He holds a BA in International Economics from the University of Missouri and an MBA in International Finance from Thunderbird School of International Management.

Anthony J. Giardina, CPA, Chief Financial Officer
Mr. Giardina joined Stanfield in 2006 as Vice President of Finance.  In 2007, Mr. Giardina assumed the role of Chief Financial Officer.  Prior to joining Stanfield, Mr. Giardina was the Chief Financial Officer for Jesup and Lamont Securities Corporation since 2005. From 1995-2005, Mr. Giardina was with Commonwealth Associates Group Holdings in various capacities.  From 2003-2005, he was the Chief Financial Officer of Commonwealth Associates Group Holdings. Mr. Giardina received an MBA in Finance from Hofstra University in 1988 and a BA in Accounting from Hofstra University in 1987.  He has been licensed as a CPA in New York for over 15 years and is series 7, 24, 27, and 63 licensed. Mr. Giardina is no longer an associated person of any NASD member firm.

Reginald Woodard, Managing Director, Chief Technology Officer
Mr. Woodard has served as Stanfield’s Chief Technology Officer since the firm’s inception. Prior to joining Stanfield, Mr. Woodard worked at Chancellor LGT, Chemical Bank, and Manufacturers Hanover Trust Company, all in technology positions. Mr. Woodard received a BS from Northwestern University.

 

 

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