This page has expired.
The Compliance team advises HMC's investment professionals on legal, tax, risk, and regulatory matters affecting investment activity across the endowment. The team works closely with portfolio managers to structure, negotiate, and monitor both direct and fund investments, and coordinates with in-house trading professionals and outside counsel to negotiate counterparty trading agreements and to monitor daily trading activity for regulatory compliance.
Members of the Compliance team are responsible for corporate governance matters, coordinating all correspondence between HMC and its Board of Directors and standing Committees. The Compliance group also oversees HMC’s corporate communications initiatives, as well as sustainable investment practices, including the integration of material environmental, social, and governance factors into our investment analysis and decision-making processes.