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Janet Dyer
Janet Dyer is a Senior Vice President and Chief Compliance Officer at Fidelity Investments. Based in Boston, Janet leads the compliance teams that support the Fidelity Institutional and Fidelity Brokerage Operations & Technology businesses, and is the CCO of National Financial Services LLC and co-CCO of Fidelity Brokerage Services LLC. Janet joined Fidelity Investments in 2005 and has held various roles in its compliance organization. Most recently, she was responsible for managing the Firm’s regulatory inquiry and exam program, and its compliance advisory team supporting Fidelity’s capital markets business.
Prior to joining Fidelity Investments, Janet was a Senior Consultant at Ernst & Young, where she counseled financial services clients on compliance related matters, and an Operations manager at MML Investors Services.
Janet received her undergraduate degree from Western New England University, her MBA and MS from Boston University, and her juris doctorate from Suffolk University Law School.