Full Name
Kristy Croushore
Job Title
VP, Federal Government Relations
Company
Fidelity Investments
Speaker Bio
Kristy Croushore is Vice President, Government Relations for Fidelity Investments, a
leading provider of investment management, retirement planning, portfolio guidance,
brokerage, benefits outsourcing, and other financial products and services to over 52
million individuals, institutions, and financial intermediaries.
Since joining Fidelity in 2019, Ms. Croushore has worked to align policy outcomes with
the firm’s strategic objectives, advocating on behalf of the firm’s interests in
Washington on a range of legislative and regulatory policies before government
officials. Her areas of focus include financial services regulation, broker-dealer
compliance, and strategic communications planning.
Ms. Croushore previously spent 16 years at the Financial Industry Regulatory Authority
(FINRA) and its predecessor (NASD) in senior roles within the areas of government
affairs, corporate communications, and operations and administration. Prior to FINRA,
Ms. Croushore was a consultant with Ernst & Young, focusing on international tax and
strategy projects for clients across a wide variety of sectors.
Ms. Croushore hails from the Pittsburgh area and earned a BA in Finance &
International Business from The George Washington University and an MBA from the
University of Maryland. She has a Certificate in Legislative Studies from Georgetown
University’s Government Affairs Institute and holds the Certified Regulatory and
Compliance Professional (CRCP®) designation from FINRA.
leading provider of investment management, retirement planning, portfolio guidance,
brokerage, benefits outsourcing, and other financial products and services to over 52
million individuals, institutions, and financial intermediaries.
Since joining Fidelity in 2019, Ms. Croushore has worked to align policy outcomes with
the firm’s strategic objectives, advocating on behalf of the firm’s interests in
Washington on a range of legislative and regulatory policies before government
officials. Her areas of focus include financial services regulation, broker-dealer
compliance, and strategic communications planning.
Ms. Croushore previously spent 16 years at the Financial Industry Regulatory Authority
(FINRA) and its predecessor (NASD) in senior roles within the areas of government
affairs, corporate communications, and operations and administration. Prior to FINRA,
Ms. Croushore was a consultant with Ernst & Young, focusing on international tax and
strategy projects for clients across a wide variety of sectors.
Ms. Croushore hails from the Pittsburgh area and earned a BA in Finance &
International Business from The George Washington University and an MBA from the
University of Maryland. She has a Certificate in Legislative Studies from Georgetown
University’s Government Affairs Institute and holds the Certified Regulatory and
Compliance Professional (CRCP®) designation from FINRA.
Speaking At
